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The Resource Corporate financial management, Glen Arnold

Corporate financial management, Glen Arnold

Label
Corporate financial management
Title
Corporate financial management
Statement of responsibility
Glen Arnold
Creator
Subject
Language
eng
Cataloging source
DLC
http://library.link/vocab/creatorName
Arnold, Glen
Illustrations
illustrations
Index
index present
Literary form
non fiction
http://library.link/vocab/subjectName
  • Corporations
  • Corporations
Label
Corporate financial management, Glen Arnold
Instantiates
Publication
Bibliography note
Includes bibliographical references and index
Contents
  • Pt. I.
  • Introduction.
  • p. 2
  • 1.
  • financial world.
  • p. 4
  • Pt. II.
  • investment decision.
  • p. 58
  • 2.
  • Project appraisal : net present value and internal rate of return.
  • p. 60
  • 3.
  • Project appraisal : cash flow and applications.
  • p. 108
  • 4.
  • decision-making process for investment appraisal.
  • p. 152
  • 5.
  • Project appraisal : capital rationing, taxation and inflation.
  • p. 184
  • Pt. III.
  • Risk and return.
  • p. 210
  • 6.
  • Risk and project appraisal.
  • p. 212
  • 7.
  • Portfolio theory.
  • p. 274
  • 8.
  • capital asset pricing model and multi-factor models.
  • p. 328
  • Pt. IV.
  • Sources of finance.
  • p. 382
  • 9.
  • Stock markets.
  • p. 384
  • 10.
  • Raising equity capital.
  • p. 434
  • 11.
  • Long-term debt finance.
  • p. 512
  • 12.
  • Short-term and medium-term finance.
  • p. 574
  • 13.
  • Treasury and working capital management.
  • p. 622
  • 14.
  • Stock market efficiency.
  • p. 682
  • Pt. V.
  • Corporate value.
  • p. 746
  • 15.
  • Value management.
  • p. 748
  • 16.
  • Strategy and value.
  • p. 784
  • 17.
  • Value-creation metrics.
  • p. 812
  • 18.
  • Entire firm value measurement.
  • p. 850
  • 19.
  • cost of capital.
  • p. 870
  • 20.
  • Valuing shares.
  • p. 906
  • 21.
  • Capital structure.
  • p. 956
  • 22.
  • Dividend policy.
  • p. 1008
  • 23.
  • Mergers.
  • p. 1038
  • Pt. VI.
  • Managing risk.
  • p. 1102
  • 24.
  • Derivatives.
  • p. 1104
  • 25.
  • Managing exchange-rate risk.
  • p. 1156
  • App. I.
  • Future value of [pound]1 at compound interest
  • App. II.
  • Present value of [pound]1 at compound interest
  • App. III.
  • Present value of an annuity of [pound]1 at compound interest
  • App. IV.
  • future value of an annuity of [pound]1 at compound interest
  • App. V.
  • Areas under the standardised normal distribution
  • App. VI.
  • Answers to the mathematical tools exercises in Chapter 2, Appendix 2.1
Control code
l82005040066
Dimensions
27 cm.
Edition
3rd ed.
Extent
xxxv, 1200, 43, 32, 15, 17 p.
Isbn
9780273687269
Lccn
2005040066
Other physical details
ill.
Label
Corporate financial management, Glen Arnold
Publication
Bibliography note
Includes bibliographical references and index
Contents
  • Pt. I.
  • Introduction.
  • p. 2
  • 1.
  • financial world.
  • p. 4
  • Pt. II.
  • investment decision.
  • p. 58
  • 2.
  • Project appraisal : net present value and internal rate of return.
  • p. 60
  • 3.
  • Project appraisal : cash flow and applications.
  • p. 108
  • 4.
  • decision-making process for investment appraisal.
  • p. 152
  • 5.
  • Project appraisal : capital rationing, taxation and inflation.
  • p. 184
  • Pt. III.
  • Risk and return.
  • p. 210
  • 6.
  • Risk and project appraisal.
  • p. 212
  • 7.
  • Portfolio theory.
  • p. 274
  • 8.
  • capital asset pricing model and multi-factor models.
  • p. 328
  • Pt. IV.
  • Sources of finance.
  • p. 382
  • 9.
  • Stock markets.
  • p. 384
  • 10.
  • Raising equity capital.
  • p. 434
  • 11.
  • Long-term debt finance.
  • p. 512
  • 12.
  • Short-term and medium-term finance.
  • p. 574
  • 13.
  • Treasury and working capital management.
  • p. 622
  • 14.
  • Stock market efficiency.
  • p. 682
  • Pt. V.
  • Corporate value.
  • p. 746
  • 15.
  • Value management.
  • p. 748
  • 16.
  • Strategy and value.
  • p. 784
  • 17.
  • Value-creation metrics.
  • p. 812
  • 18.
  • Entire firm value measurement.
  • p. 850
  • 19.
  • cost of capital.
  • p. 870
  • 20.
  • Valuing shares.
  • p. 906
  • 21.
  • Capital structure.
  • p. 956
  • 22.
  • Dividend policy.
  • p. 1008
  • 23.
  • Mergers.
  • p. 1038
  • Pt. VI.
  • Managing risk.
  • p. 1102
  • 24.
  • Derivatives.
  • p. 1104
  • 25.
  • Managing exchange-rate risk.
  • p. 1156
  • App. I.
  • Future value of [pound]1 at compound interest
  • App. II.
  • Present value of [pound]1 at compound interest
  • App. III.
  • Present value of an annuity of [pound]1 at compound interest
  • App. IV.
  • future value of an annuity of [pound]1 at compound interest
  • App. V.
  • Areas under the standardised normal distribution
  • App. VI.
  • Answers to the mathematical tools exercises in Chapter 2, Appendix 2.1
Control code
l82005040066
Dimensions
27 cm.
Edition
3rd ed.
Extent
xxxv, 1200, 43, 32, 15, 17 p.
Isbn
9780273687269
Lccn
2005040066
Other physical details
ill.

Library Locations

    • Brunswick Library StoreBorrow it
      Liverpool, GB
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