Résumé
Corporate Financial Management is a thorough and comprehensive introduction into corporate finance, yet is very approachable. It takes the student from an assumption of no knowledge through to a comprehensive grounding in corporate financial management. The book has a very accessible writing style and has frequent demonstration of how and why the theory is relevant and can be applied. The author's rule is " Is this knowledge sufficiently useful out there, in the real world, to make it worth while for the reader to study it?" If not, then it is not included. Mathematical explanations are covered early and in a simple style. New skills are fully explained and illustrated as and when required.
Features
- Comprehensive coverage of all mainstream topics in corporate finance, including topics of emerging importance such as risk management using derivatives and shareholder value analysis.
- A wealth of FT articles and case study material is used to illustrate corporate finance in the contemporary business world.
- A superior learning package featuring learning objectives, introduction, worked examples, case studies, summaries, key points and concepts, annotated further reading, review questions, computational and essay-type questions, assignments, a glossary of key terms.
- Strong lecturer support package includes solutions to questions, test bank, and PowerPoint slides.
L'auteur - Glen Arnold
Glen Arnold est investisseur businessman et professeur de finance à l'université de Salford. Il est l'auteur de nombreux livres sur la finance et l'investissement.
Sommaire
- Part 1: Introduction
- The Financial World
- Part 2: The investment Decision
- Project Appraisal: Net Present Value and Internal Rate of Return
- Project Appraisal: Cash Flow and Applications
- The Decision-making Process for Investment Appraisal
- Project Appraisal: Capital Rationing, Taxation and Inflation
- Part 3: Risk and Return
- Risk and Project Appraisal
- Portfolio Theory
- The Capital Asset Pricing Model and Multi-factor Models
- Part 4: Sources of Finance
- Stock Markets
- Raising Equity Capital
- Long-term Debt Finance
- Short-term and Medium-term Finance
- Treasury and Working Capital Management
- Stock Market Efficiency
- Part 5: Corporate Value
- Value-based Management
- Managing a Value-based Company and the cost of capital
- Valuing Shares
- Capital Structure
- Dividend Policy
- Mergers
- Part 6: Managing Risk
- Derivatives
- Managing Exchange-Rate Risk
Caractéristiques techniques
PAPIER | |
Éditeur(s) | Prentice Hall |
Auteur(s) | Glen Arnold |
Parution | 20/02/2004 |
Édition | 2eme édition |
Nb. de pages | 1098 |
Format | 19 x 24 |
Couverture | Broché |
Poids | 1805g |
Intérieur | Noir et Blanc |
EAN13 | 9780273651482 |
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