Youbeli Online Shopping Malaysia
Cart: 0 items 
Loading...
Language
Contact Us: 1800 88 2354

Corporate Finance

Corporate Finance
Product Code:
162
Model:
9781292103037
Brand:
Pearson
Sold by:
Status:
Pre-order
Delivery Fee:
FREE
FREE shipping with a minimum purchase
West Malaysia - RM0.00
East Malaysia - RM0.00
Rewards:
100 Points
E-Tunai
Notify me when ...
price drops.
product is available.
Product Information

Size (length*width*height): 32cm x 23cm x 6cm

What's in the box:

Corporate Finance textbook x1

Description

In this new and fully updated Seventh Edition of Corporate Finance: Principles and Practice, the key principles and mathematical techniques are clearly explained step–by-step and put into practice through numerous vignettes which take a closer look at real-world and well-known companies.

 

New to this Edition

What’s new?

  • Chapter vignettes refreshed to reflect the current economic and financial climate, along with accompanying questions aiming to deepen student's knowledge of key contemporary issues
  • All data and tables updated to reflect current trends in key economic variables and developments in corporate finance
  • Chapter 1 revised to reflect recent developments in corporate governance
  • Chapter 11 updated to take account of the changes in UK anti-trust regulation

 

Table of Contents

Preface

Acknowledgements

1 The finance function

Learning objectives

Introduction

1.1 Two key concepts in corporate finance

1.2 The role of the financial manager

1.3 Corporate objectives

1.4 How is shareholder wealth maximised?

1.5 Agency theory

1.6 Corporate governance

1.7 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

2 Capital markets, market efficiency and ratio analysis

Learning objectives

Introduction

2.1 Sources of business finance

2.2 Capital markets

2.3 Capital market efficiency

2.4 Assessing financial performance

2.5 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

3 Short-term finance and the management of working capital

Learning objectives

Introduction

3.1 The objectives of working capital management

3.2 Working capital policies

3.3 Working capital and the cash conversion cycle

3.4 Overtrading

3.5 Managing inventory

3.6 Managing cash

3.7 Managing receivables

3.8 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

4 Long-term finance: equity finance

Learning objectives

Introduction

4.1 Equity finance

4.2 The stock exchange

4.3 Rights issues

4.4 Scrip issues, share splits, scrip dividends and share repurchases

4.5 Preference shares

4.6 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

5 Long-term finance: debt finance, hybrid finance and leasing

Learning objectives

Introduction

5.1 Bonds, loan notes, loan stock and debentures

5.2 Bank and institutional debt

5.3 International debt finance

5.4 Convertible bonds

5.5 Warrants

5.6 The valuation of fixed-interest bonds

5.7 The valuation of convertible bonds

5.8 Leasing

5.9 Evaluating the financial effect of financing choices

5.10  Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

6 An overview of investment appraisal methods

Learning objectives

Introduction

6.1 The payback method

6.2 The return on capital employed method

6.3 The net present value method

6.4 The internal rate of return method

6.5 A comparison of the npv and irr methods

6.6 The profitability index and capital rationing

6.7 The discounted payback method

6.8 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

7 Investment appraisal: applications and risk

Learning objectives

Introduction

7.1 Relevant project cash flows

7.2 Taxation and capital investment decisions

7.3 Inflation and capital investment decisions

7.4 Investment appraisal and risk

7.5 Appraisal of foreign direct investment

7.6 Empirical investigations of investment appraisal

7.7 Conclusion

Key points

Self-test questions

Questions for review

Questions for discussion

References

Recommended reading

8 Portfolio theory and the capital asset pricing model

Learning objectives

Introduction

8.1 The measurement of risk

8.2 The concept of diversification

8.3 Investor attitudes to risk

 

Corporate Finance
How To Buy
Shipping Information
ZoneOrder Total (RM)Delivery Fee (RM)
West MalaysiaFlat RateFREE
East MalaysiaFlat RateFREE

 

TOP