Corporate Finance For Dummies
For Dummies (Verlag)
978-1-119-85031-1 (ISBN)
A firm grasp of the fundamentals of corporate finance can help explain and predict the behavior of businesses and businesspeople. And, with the right help from us, it’s not that hard to learn!
In Corporate Finance For Dummies, an expert finance professor with experience in everything from small business to large, public corporations walks you through the basics of the subject. You’ll find out how to read corporate financial statements, manage risks and investments, understand mergers and acquisitions, and value corporate assets.
In this book, you will also:
Get a plain-English introduction to the financial concepts, instruments, definitions, and strategies that govern corporate finance
Learn how to value a wide variety of instruments, from physical assets to intangible property, bonds, equities, and derivatives
Explore the intricacies of financial statements, including the balance sheet, income statement, and statement of cash flows
Perfect for students in introductory corporate finance classes looking for an easy-to-follow supplementary resource, Corporate Finance For Dummies, delivers intuitive instruction combined with real-world examples that will give you the head start you need to get a grip on everything from the cost of capital to debt analytics, corporate bonds, derivatives, and more.
Michael Taillard, PhD, MBA, is an economic consultant and professor of finance. His financial experience ranges from nonprofits to large corporations and even to small business owners. He is an often-published author, and he wrote the previous edition of Corporate Finance For Dummies. In his free time, Michael enjoys kayaking!
Introduction 1
Part 1: What’s Unique about Corporate Finance 5
Chapter 1: The Tale of Corporate Finance 7
Chapter 2: Introducing Finance Land 15
Chapter 3: Pitching Your Story for Money 35
Part 2: Making a Statement 45
Chapter 4: Staying Balanced 47
Chapter 5: Incoming Income 59
Chapter 6: Going with the (Cash) Flow 67
Chapter 7: Mastering Metrics 75
Chapter 8: Calculating Capital 97
Part 3: Valuations on the Price Tags of Business 115
Chapter 9: Determining Present and Future Values: Time Is Money 117
Chapter 10: Calling in the Cavalry 125
Chapter 11: Bonding Over Business 143
Chapter 12: Savvy Stock Sales 159
Chapter 13: Pricing Probability from Derived Value 173
Part 4: A Wonderland of Risk Management 183
Chapter 14: Managing Uncertainty 185
Chapter 15: Through the Looking Glass of Modern Portfolio Theory 197
Chapter 16: Financially Engineering Yourself Deeper Down the Rabbit Hole 217
Chapter 17: Weighing Capital 233
Part 5: Financial Management 243
Chapter 18: Assessing Financial Performance 245
Chapter 19: Forecasting Finances 263
Chapter 20: Getting the Deets on M&A 277
Part 6: The Part of Tens 295
Chapter 21: Ten Things You Need to Know about International Finance 297
Chapter 22: Ten Things You Need to Understand about Behavioral Finance 313
Index 325
Erscheinungsdatum | 07.03.2022 |
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Sprache | englisch |
Maße | 188 x 234 mm |
Gewicht | 476 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
ISBN-10 | 1-119-85031-2 / 1119850312 |
ISBN-13 | 978-1-119-85031-1 / 9781119850311 |
Zustand | Neuware |
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