Corporate Financial Management
Pearson Education Limited (Verlag)
978-1-292-14044-5 (ISBN)
The book offers a complete study of the theory and practice in corporate finance, exploring a range of topics, including investment appraisal, risk and return, and sources of finance. It also discusses concepts that involve risk management, including derivatives, giving a unique treatment of corporate value.
Accessible and easy to understand, the text is designed to teach you how to make informed, successful financial decisions by offering a variety of real-world case studies that apply important business concepts from theory to action.
The current, thoroughly updated edition includes a plethora of existing and updated features that will support your understanding of the concepts presented in each chapter.
Key features include:
A clear, accessible language that illustrates the financial techniques in practical terms.
New Financial Times articles that help you see the relevance between theory and the real world.
A presentation of finance as a dynamic subject, that is open to theoretical re-evaluation.
A large number of examples and case studies include statistics and data that range from the number of corporate mergers to default rates in corporate bonds.
Mathematical explanations that are easy to follow.
With a clear layout and a range of additional resources to support your understanding of the key concepts introduced, this must-have book will help you succeed in your studies and prepare you for the real financial world.
This title is supported by MyFinanceLab®, an online homework and tutorial system which can be used by students for self-directed study, or instructors who can choose to fully integrate this eLearning technology into the delivery of their course.
If you would like to purchase both the physical text and MyLab Accounting search for: 9781292169415 Corporate Financial Management, 6th Edition with MyFinanceLab®.
Package consists of:
9781292140445 Corporate Financial Management, 6th Edition
9781292169392 Corporate Financial Management, 6th Edition MyFinanceLab®
9781292169385 Corporate Financial Management, 6th Edition Pearson eText
MyFinanceLab® is not included. Students, if MyFinanceLab is a recommended/mandatory component of the course, please ask your instructor for the correct ISBN and course ID. MyFinanceLab®should only be purchased when required by an instructor. Instructors, contact your Pearson representative for more information.
Glen Arnold runs an investment fund and previously held positions as Professor of Finance and Professor of Investing. In addition to the textbook Modern Financial Markets and Institutions, he has authored leading investment and banking books, including The Financial Times Guide to Investment, The FT Guide to Banking, and The FT Guide to Value Investing. Deborah Lewis is a Senior Teaching Fellow at the University of Bath. As a Director of Studies for the Bath MBA programme, featured in the top 100 of the FT Global MBA 2018 Ranking, she ensures the material is useful both for the student and the practitioner. Deborah's previous commercial experience allows her to blend academic theory with professional application.
Brief contents Topics covered in the book xxi Introduction to the book xxiii Acknowledgements xxix Part 1 Introduction 1
The financial world 2
Part 2 The investment decision 49
Project appraisal: net present value and internal rate of return 50
Project appraisal: cash flow and applications 89
The decision-making process for investment appraisal 125
Project appraisal: capital rationing, taxation and inflation 151
Part 3 Risk and return 173
Risk and project appraisal 174
Portfolio theory 222
The Capital Asset Pricing Model and multi-factor models 268
Part 4 Sources of finance 327
Stock markets 328
Raising equity capital 365
Long-term debt finance 422
Short- and medium-term finance, treasury and working capital management 474
Stock market efficiency 542
Part 5 Corporate value 611
Value-based management 612
Value-creation metrics 658
The cost of capital 704
Valuing shares 738
Capital structure 787
Dividend policy 840
Mergers 868
Part 6 Managing risk 927
Derivatives 928
Managing exchange-rate risk 974
Appendices A:1
Future value of £1 at compound interest A:2
Present value of £1 at compound interest A:3
Present value of an annuity of £1 at compound interest A:4
Future value of an annuity of £1 at compound interest A:5
Areas under the standardised normal distribution A:6
Answers to the mathematical tools exercises in Chapter 2, Appendix 2.1 A:7
Glossary G:1 Bibliography B:1 Index I:1
Erscheinungsdatum | 08.02.2019 |
---|---|
Verlagsort | Harlow |
Sprache | englisch |
Maße | 193 x 264 mm |
Gewicht | 2080 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
ISBN-10 | 1-292-14044-5 / 1292140445 |
ISBN-13 | 978-1-292-14044-5 / 9781292140445 |
Zustand | Neuware |
Haben Sie eine Frage zum Produkt? |
aus dem Bereich