Bibliographic Information

Corporate financial management

Glen Arnold

Financial Times, 1998

Available at  / 11 libraries

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Note

"Financial Times Management" --T.p. verso

Bibliography: p. 1031-1040

Includes index

Description and Table of Contents

Description

This is a comprehensive introductory text on finance which will move the student from an assumption of no knowledge up to a sound intermediate level of knowledge. It is internationally developed and produced to the quality of a typical US finance textbook. It is aimed at second/third year undergraduates of accounting and finance, economics, business studies/management, in the UK and international markets, including S E Asia, Australasia, South Africa, and northern Europe, including Benelux and Scandinavia. The book will explore the theory underpinning this subject, and go on to explore the gap between academic finance theory and real-world practice. The book will attempt to provide an up to date picture of recent theoretical re-evaluations. The book moves from a general appreciation of the financial world, through an extensive treatment of the investment decision, risk and return, and sources of finance, to a comprehensive analysis of corporate value, including mergers, risk management using derivatives, and managing exchange rate risk. Throughout, FT and Investor's Chronicle cases are used to give a real-world emphasis to the subject. The book comes with an extensive supplements package.

Table of Contents

Topics covered in the book Introduction to the book Acknowledgements Part I INTRODUCTION 1 The financial world Part II THE INVESTMENT DECISION 2 Project appraisal: Net present value and internal rate of return Appendix 2.1 Mathematical tools for finance 3 Project appraisal: Cash flow and applications 4 The decision-making process for investment 5 Project appraisal: Capital rationing, taxation and inflation Part III RISK AND RETURN 6 Risk and project appraisal 7 Portfolio theory 8 The capital asset pricing model and the arbitrage pricing theory Part IV SOURCES OF FINANCE 9 Stock markets 10 Raising equity capital 11 Long-term debt finance 12 Short-term and medium-term finance 13 Treasury and working capital management 14 Stock market efficiency Part V CORPORATE VALUE 15 Value-based management 16 Managing a value-based company 17 Valuing shares 18 Capital structure 19 Dividend policy 20 Mergers Part VI MANAGING RISK 21 Derivatives Appendix 21.1 Option pricing 22 Managing exchange-rate risk APPENDICES Appendix I Future value of A GBP1 at compound interest Appendix II Present value of A GBP1 at compound interest Appendix III Present value of an annuity of A GBP1 at compound interest Appendix IV Areas under the standardised normal distribution Appendix V Answers to the mathematical tools exercises in Appendix 2.1 Appendix VI Solutions to selected questions and problems Glossary Bibliography Index

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