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Financial Management is a comprehensive textbook for management students with a managerial decision-making orientation and application of concepts through case studies. The textbook deals with the concepts of core finance with emphasis on specialized sub-areas.
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Financial Management is a comprehensive textbook for management students with a managerial decision-making orientation and application of concepts through case studies. The textbook deals with the concepts of core finance with emphasis on specialized sub-areas.
Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Produktdetails
- Produktdetails
- Verlag: Hurst & Co.
- 2nd edition
- Seitenzahl: 840
- Erscheinungstermin: 3. September 2012
- Englisch
- Abmessung: 277mm x 216mm x 41mm
- Gewicht: 1656g
- ISBN-13: 9780198072072
- ISBN-10: 0198072074
- Artikelnr.: 36077189
- Herstellerkennzeichnung
- Libri GmbH
- Europaallee 1
- 36244 Bad Hersfeld
- 06621 890
- Verlag: Hurst & Co.
- 2nd edition
- Seitenzahl: 840
- Erscheinungstermin: 3. September 2012
- Englisch
- Abmessung: 277mm x 216mm x 41mm
- Gewicht: 1656g
- ISBN-13: 9780198072072
- ISBN-10: 0198072074
- Artikelnr.: 36077189
- Herstellerkennzeichnung
- Libri GmbH
- Europaallee 1
- 36244 Bad Hersfeld
- 06621 890
Rajiv Srivastava is Professor at the Indian Institute of Foreign Trade, Delhi. Anil Misra is Associate Professor of Accounting and Finance at the Management Development Institute (MDI), Gurgaon.
* Part I: Introduction
* 1. Financial Management: An Overview
* 2.
* Comparative and Historical Analysis
* 3. CVP and Breakeven Analysis
* Part II: Valuation Concepts
* 4. Time Value of Money
* 5. Risk and Return
* 6. Valuation and Management of Bonds
* 7. Shares and Their Valuation
* 8. Portfolio Theory
* 9. Asset Pricing Models
* 10. Valuation
* Part III: Investment Decision
* 11. Capital Budgeting-I
* 12. Capital Budgeting-II
* 13. Cost of Capital
* 14. Real Options
* 15. Mergers and Acquisitions
* Part IV: Financing and Dividend Decisions
* 16. Capital Structure-Theory
* 17. Designing Capital Structure
* 18. Leasing and Hire Purchase
* 19. Dividend Decision
* 20. Sources of Finance
* Part V: Working Capital Management
* 21. Working Capital Management: An Introduction
* 22. Inventory Management
* 23. Receivables Management
* 24. Cash Management
* Part VI: International Financial Management
* 25. Foreign Exchange-Rates and Markets
* 26. Determining Foreign Exchange Rates
* 27. Managing Foreign Exchange Exposure
* Part VII: Derivatives and risk management
* 28. Risk Management, Forwards and Future
* 29. Options
* 30. Interest Rate and Currency Swaps
* Part VIII: Appendices
* A-1 Future Value of Re 1 at r% after n Periods
* A-2 Present Value of Re 1 Discounted at r% for n Periods
* A-3 Future Value of Annuity of Re 1 at r% for n Periods
* A-4 Present Value of Annuity at r% for n Periods
* A-5 EMI Payable in Advance at r% for n Years
* A-6 EMI Payable in Arrears at r% for n Years
* A-7 (Ist Part) Area Under the Normal Distribution Curve (forPositive
Values)
* A-7 (2nd Part) Area Under the Normal Distribution Curve (for negative
values)
* 1. Financial Management: An Overview
* 2.
* Comparative and Historical Analysis
* 3. CVP and Breakeven Analysis
* Part II: Valuation Concepts
* 4. Time Value of Money
* 5. Risk and Return
* 6. Valuation and Management of Bonds
* 7. Shares and Their Valuation
* 8. Portfolio Theory
* 9. Asset Pricing Models
* 10. Valuation
* Part III: Investment Decision
* 11. Capital Budgeting-I
* 12. Capital Budgeting-II
* 13. Cost of Capital
* 14. Real Options
* 15. Mergers and Acquisitions
* Part IV: Financing and Dividend Decisions
* 16. Capital Structure-Theory
* 17. Designing Capital Structure
* 18. Leasing and Hire Purchase
* 19. Dividend Decision
* 20. Sources of Finance
* Part V: Working Capital Management
* 21. Working Capital Management: An Introduction
* 22. Inventory Management
* 23. Receivables Management
* 24. Cash Management
* Part VI: International Financial Management
* 25. Foreign Exchange-Rates and Markets
* 26. Determining Foreign Exchange Rates
* 27. Managing Foreign Exchange Exposure
* Part VII: Derivatives and risk management
* 28. Risk Management, Forwards and Future
* 29. Options
* 30. Interest Rate and Currency Swaps
* Part VIII: Appendices
* A-1 Future Value of Re 1 at r% after n Periods
* A-2 Present Value of Re 1 Discounted at r% for n Periods
* A-3 Future Value of Annuity of Re 1 at r% for n Periods
* A-4 Present Value of Annuity at r% for n Periods
* A-5 EMI Payable in Advance at r% for n Years
* A-6 EMI Payable in Arrears at r% for n Years
* A-7 (Ist Part) Area Under the Normal Distribution Curve (forPositive
Values)
* A-7 (2nd Part) Area Under the Normal Distribution Curve (for negative
values)
* Part I: Introduction
* 1. Financial Management: An Overview
* 2.
* Comparative and Historical Analysis
* 3. CVP and Breakeven Analysis
* Part II: Valuation Concepts
* 4. Time Value of Money
* 5. Risk and Return
* 6. Valuation and Management of Bonds
* 7. Shares and Their Valuation
* 8. Portfolio Theory
* 9. Asset Pricing Models
* 10. Valuation
* Part III: Investment Decision
* 11. Capital Budgeting-I
* 12. Capital Budgeting-II
* 13. Cost of Capital
* 14. Real Options
* 15. Mergers and Acquisitions
* Part IV: Financing and Dividend Decisions
* 16. Capital Structure-Theory
* 17. Designing Capital Structure
* 18. Leasing and Hire Purchase
* 19. Dividend Decision
* 20. Sources of Finance
* Part V: Working Capital Management
* 21. Working Capital Management: An Introduction
* 22. Inventory Management
* 23. Receivables Management
* 24. Cash Management
* Part VI: International Financial Management
* 25. Foreign Exchange-Rates and Markets
* 26. Determining Foreign Exchange Rates
* 27. Managing Foreign Exchange Exposure
* Part VII: Derivatives and risk management
* 28. Risk Management, Forwards and Future
* 29. Options
* 30. Interest Rate and Currency Swaps
* Part VIII: Appendices
* A-1 Future Value of Re 1 at r% after n Periods
* A-2 Present Value of Re 1 Discounted at r% for n Periods
* A-3 Future Value of Annuity of Re 1 at r% for n Periods
* A-4 Present Value of Annuity at r% for n Periods
* A-5 EMI Payable in Advance at r% for n Years
* A-6 EMI Payable in Arrears at r% for n Years
* A-7 (Ist Part) Area Under the Normal Distribution Curve (forPositive
Values)
* A-7 (2nd Part) Area Under the Normal Distribution Curve (for negative
values)
* 1. Financial Management: An Overview
* 2.
* Comparative and Historical Analysis
* 3. CVP and Breakeven Analysis
* Part II: Valuation Concepts
* 4. Time Value of Money
* 5. Risk and Return
* 6. Valuation and Management of Bonds
* 7. Shares and Their Valuation
* 8. Portfolio Theory
* 9. Asset Pricing Models
* 10. Valuation
* Part III: Investment Decision
* 11. Capital Budgeting-I
* 12. Capital Budgeting-II
* 13. Cost of Capital
* 14. Real Options
* 15. Mergers and Acquisitions
* Part IV: Financing and Dividend Decisions
* 16. Capital Structure-Theory
* 17. Designing Capital Structure
* 18. Leasing and Hire Purchase
* 19. Dividend Decision
* 20. Sources of Finance
* Part V: Working Capital Management
* 21. Working Capital Management: An Introduction
* 22. Inventory Management
* 23. Receivables Management
* 24. Cash Management
* Part VI: International Financial Management
* 25. Foreign Exchange-Rates and Markets
* 26. Determining Foreign Exchange Rates
* 27. Managing Foreign Exchange Exposure
* Part VII: Derivatives and risk management
* 28. Risk Management, Forwards and Future
* 29. Options
* 30. Interest Rate and Currency Swaps
* Part VIII: Appendices
* A-1 Future Value of Re 1 at r% after n Periods
* A-2 Present Value of Re 1 Discounted at r% for n Periods
* A-3 Future Value of Annuity of Re 1 at r% for n Periods
* A-4 Present Value of Annuity at r% for n Periods
* A-5 EMI Payable in Advance at r% for n Years
* A-6 EMI Payable in Arrears at r% for n Years
* A-7 (Ist Part) Area Under the Normal Distribution Curve (forPositive
Values)
* A-7 (2nd Part) Area Under the Normal Distribution Curve (for negative
values)