Corporate Finance and Investment
Pearson Education Limited (Verlag)
978-1-292-20854-1 (ISBN)
Understand and develop the tools to apply the principles of Corporate Finance from an international perspective with this leading text. Corporate Finance and Investment: Decisions and Strategies, 9th Edition is the latest version of this highly regarded and established text, coming from a team of leading experts in the field.
The text studies the discipline from an international perspective, aiming to help you understand the fundamental principles of Corporate Finance and develop the tools you need to apply theory to practice.
The latest, thoroughly revised Edition includes topical issues in valuation, working capital, capital structure, the dividend decision, Islamic Finance, Risk Management, and Behavioural Finance.
Focusing on the strategic issues of Finance in a business setting, this must-read text uses the latest financial and accounting data, articles, and research papers, to effectively demonstrate the ways and extent you can apply theory to practical issues.
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9781292208541 Corporate Finance and Investment, 9th Edition
9781292234915 Corporate Finance and Investment, 9th Edition MyLab® Finance
9781292244228 Corporate Finance and Investment, 9th Edition Pearson eText
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Richard Pike is Emeritus Professor of Finance at the School of Management, University of Bradford. Bill Neale has lectured and researched at several UK Universities and is now freelancing. Saeed Akbar is a Professor in Accounting and Finance at the Hull University Business School, University of Hull. Philip Linsley is a Professor in Accounting and Finance at the University of York.
List of figures and tables Preface Authors' acknowledgements Publisher's acknowledgements Part I A framework for financial decisions
An overview of financial management
The financial environment
Present values, and bond and share valuation
Part II Investment decisions and strategies
Investment appraisal methods
Project appraisal – applications
Investment strategy and process
Part III Value, risk and the required return
Analysing investment risk
Relationships between investments: portfolio theory
Setting the risk premium: the Capital Asset Pricing Model (CAPM)
The required rate of return on investment
Enterprise value and equity value
Identifying and valuing options
Part IV Short-term financing and policies
Risk and treasury management
Working capital and short-term asset management
Short- and medium-term finance
Part V Strategic financial decisions
Long-term finance
Returning value to shareholders: the dividend decision
Capital structure and the required return
Does capital structure really matter?
Acquisitions and re-structuring
Part VI International financial management
Managing currency risk
Foreign investment decisions
Key issues in modern finance: a review
Appendix A Solutions to self-assessment activities Appendix B Solutions to selected questions Appendix C Present value interest factor (PVIF) Appendix D Present value interest factor for an annuity (PVIFA) Glossary References Index
Erscheinungsdatum | 29.08.2018 |
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Verlagsort | Harlow |
Sprache | englisch |
Maße | 196 x 269 mm |
Gewicht | 2040 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
ISBN-10 | 1-292-20854-6 / 1292208546 |
ISBN-13 | 978-1-292-20854-1 / 9781292208541 |
Zustand | Neuware |
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