Financial Management: Theory and Practice 10e Brigham, Ehrhardt
Tytuł: Financial Management: Theory and Practice
Autor: Brigham, Eugene F; Ehrhardt, Michael C.
Wydawca: Harcourt College Publishers
Wydanie: 10
Rok wydania: 2001
ISBN-13: 9780030329920
Okładka: twarda
Liczba stron: 1136
Stan
Minimalne ślady używania na okładce. Wewnątrz zaznaczenia na paru stronach.
O książce
Kompleksowy tekst na poziomie MBA wyjaśniający czytelnikom główne teorie zarządzania finansami. Autorzy, będący znanymi autorytetami, starają się przekazywać wiedzę w sposób przystępny i praktyczny.
Spis treści
Preface.
Part I Introduction to Financial Management
1.An Overview of Financial Management.
2. Financial Statements, Cash Flows, and Taxes.
3. Analysis of Financial Statements.
4. Financial Planning and Forecasting Financial Statements.
5. The Financial Environment: Markets, Institutions, and Interest Rates.
Part II Fundamental Concepts in Financial Management.
6. Risk and Return: The Basics.
7. Risk and Return: Portfolio Theory and Asset Pricing Models.
8. Time Value of Money. Part III Securities and Their Valuation.
9. Bonds and Their Valuation.
10. Stocks and Their Valuation.
Part IV Corporate Valuation.
11. The Cost of Capital.
12. Putting the Pieces Together: Corporate Valuation and Value-Based Management.
Part V Strategic Investment Decisions.
13. The Basics of Capital Budgeting: Evaluating Cash Flows.
14. Cash Flow Estimation and Risk Analysis.
15. Option Pricing with Applications to Real Options.
Part VI Strategic Financing Decisions.
16. Capital Structure Decisions: The Basics.
17. Capital Structure Decisions: Extensions.
18. Distributions to Shareholders: Dividends and Repurchases.
Part VII Tactical Financing Decisions.
19. Initial Public Offerings, Investment Banking, and Financial Restructuring.
20. Lease Financing.
21. Hybrid Financing: Preferred Stock, Warrants, and Convertibles.
Part VII Working Capital Management.
22. Current Asset Management.
23. Short-Term Financing.
Part IX Special Topics.
24. Derivatives and Risk Management.
25. Bankruptcy, Reorganization, and Liquidation.
26. Mergers, LBOs, Divestitures, and Holding Companies.
27. Multinational Financial Management.
Appendixes.
A - Solutions to Self-Test Problems.
B - Answers toEnd-of-Chapter Problems.
C - Selected Equations and Data.
D - Mathematical Table.
Index.
Web/CD Chapters.
28. Working Capital Management Extensions.
29. Pension Plan Management.
30. Financial Management in Not-for-Profit Businesses.
Web/CD Extensions.
6. Continuous Probability Distributions.
8. The Tabular Approach and Continuous Compounding and Discounting.
13. The Marginal Cost of Capital and the Optimal Capital Budget.
14. Replacement Project Analysis.
15. Illustration of Valuation for Various Real Options.
16. Degree of Leverage. 20. Percentage Cost Analysis, Feedback Effect on Capital Budgeting, and Leveraged Leases.
21. Calling Convertible Issues.
23. Secured Short-Term Financing.
24. Risk Management with Insurance and Bond Portfolio Immunization.
25. Case Histories and Multiple Discriminant Analysis.