This dynamic study guide software will help you master all of the essential topics in Financial Management, Second Edition. You can select any combination of chapters to cover. Study! generates questions in random order, corrects you when you're wrong, and keeps track of your progress.
This dynamic study guide software will help you master all of the essential topics in Financial Management, Second Edition. You can select any combination of chapters to cover. Study! generates questions in random order, corrects you when you're wrong, and keeps track of your progress.Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
ROBERT W. KOLB was John S. and James L. Knight Professor of Finance at the University of Miami until 1995. He is author or coauthor of finance texts on a range of topics including futures, options, financial derivatives, investments, corporate finance, and financial institutions. He was founder and president of Kolb Publishing Company, sold to Blackwell Publishers in 1995. His research has been published in Financial Management, the Journal of Finance, the Journal of Risk and Insurance, the Journal of Financial Economics, and the Journal of Futures Markets.
Inhaltsangabe
1. Financial Management and the Business Environment. 2. The Time Value of Money. 3. The Time Value of a Series of Payments. 4. Bond Valuation. 5. Stock Valuation. 6. Capital Budgeting Techniques. 7. Special Problems in Capital Budgeting. 8. Risk and Required Rate of Return. 9. The Market Price of Risk. 10. Leverage and Risk. 11. Capital Structure. 12. Divident Policy. 13. Sources of Long-Term Financing. 14. Inventory and Cash Management. 15. Accounts Receivable Management. 16. Short-Term Financing. 17. Financial Analysis. 18. Financial Planning. 19. The Efficient Market Hypothesis. 20. Lensing. 21. Option Valuation. 22. Mergers and Acquisitions. 23. International Financial Management. Appendix. Index.
1. Financial Management and the Business Environment. 2. The Time Value of Money. 3. The Time Value of a Series of Payments. 4. Bond Valuation. 5. Stock Valuation. 6. Capital Budgeting Techniques. 7. Special Problems in Capital Budgeting. 8. Risk and Required Rate of Return. 9. The Market Price of Risk. 10. Leverage and Risk. 11. Capital Structure. 12. Divident Policy. 13. Sources of Long-Term Financing. 14. Inventory and Cash Management. 15. Accounts Receivable Management. 16. Short-Term Financing. 17. Financial Analysis. 18. Financial Planning. 19. The Efficient Market Hypothesis. 20. Lensing. 21. Option Valuation. 22. Mergers and Acquisitions. 23. International Financial Management. Appendix. Index.
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