Corporate Financial Management Glen Arnold Fourth Edition Building

 
Corporate Financial Management Glen Arnold Fourth Edition Building 4,9/5 4285 votes

This work is protected by local and international copyright laws and is provided solely for the use of instructors in teaching their courses and assessing student learning. Dissemination or sale of any part of this work (including on the World Wide Web) will destroy the integrity of the work and is not permitted. The work and materials from this site should never be made available to students except by instructors using the accompanying text in their classes.

All recipients of this work are expected to abide by these restrictions and to honor the intended pedagogical purposes and the needs of other instructors who rely on these materials. Explore how finance theory works in practice with Corporate Financial Management, 5th edition. Find out how financial decisions are made within a firm, how projects are appraised to make investment decisions, how to evaluate risk and return, where to raise finance from and how, ultimately, to create value. Need extra support? This title is supported by MyFinanceLab, an online homework and tutorial system which can be used by students for self-directed study or instructors can choose to fully integrate this eLearning technology into the delivery of their course. Students can benefit from access to MyFinanceLab by purchasing an alternative ‘pack’ version of this product called Corporate Financial Management with MyFinanceLab access card 5e (isbn 003), or by purchasing access to this MyLab separately online atInstructors should contact their Pearson Account Manager.

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New to this edition. Up-to-date explanation on the workings of financial markets. Illustrations from recent corporate events, many of which draw on Financial Times articles. Revised discussion of beta as defined by the Capital Asset Pricing Model. An abundance of new statistics on the financial markets and instruments, ranging from mergers to the default rate on corporate bonds.

Selected chapters have been fully revised and reworked to present a more streamlined version (e.g. Chapters 12, 14 and 15). Draws on the latest evidence on the extra return investors require to invest in risky shares compared with a risk-free government bond. A cautionary discussion of EBITDA warning of the dangers of falling into the erroneous use of this measure, resulting in over-optimistic valuations. New coverage on revolving credit facilities. Dna activation mantra bracelets for women.

Extended and updated glossary. Includes references to the latest literature on the theory and practical use of finance. New Harvard Business School case studies and recommended websites. Table of contentsTopics covered in the book Introduction to the book Guided tour Using MyFinanceLab AcknowledgementsPART ONE: INTRODUCTION 1. The Financial WorldPART TWO: THE INVESTMENT DECISION 2. Project appraisal: net present value and internal rate of return 3.

Project appraisal: cash flow and applications 4. The decision-making process for investment appraisal 5. Project appraisal: capital rationing, taxation and inflationPART THREE: RISK AND RETURN 6.

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Risk and project appraisal 7. Portfolio theory 8. The Capital Asset Pricing Model and multi-factor modelsPART FOUR: SOURCES OF FINANCE 9. Stock markets 10.

Raising equity capital 11. Long-term debt finance 12. Short-term and medium-term finance 13. Stock Market EfficiencyPART FIVE: CORPORATE VALUE 14.

Value-based management 15. Value-creation metrics 16. The cost of capital 17.

Management

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Valuing shares 18. Capital structure 19. Dividend policy 20. MergersPART SIX: MANAGING RISK 21. Derivatives 22.

Managing Exchange-Rate RiskGlossary Bibliography Index. Backcover copyWere you looking for the book with access to MyFinanceLab? This product is the book alone, and does NOT come with access to MyFinanceLab. Buy Corporate Financial Management, plus MyFinanceLab with Pearson eText, 5/e (ISBN 003) if you need access to the MyLab as well, and save money on this brilliant resource.“Comprehensive and well written, making a challenging subject easy to read and understand.”Ben Ukaegbu, London Metropolitan University, Business School“The case studies are excellent, relevant and bring the theories to life.”Rob Jones, Newcastle University Business SchoolCorporate Financial Management offers an extremely readable and comprehensive survey of the theory and practice of corporate finance. It progresses from a general overview of the financial world, moving through investment appraisal, risk and return, and sources of finance, to a unique treatment of corporate value. The final part introduces risk management, focusing on derivatives and exchange-rate risk.

Theory and practice are closely integrated throughout the text, reflecting the extent to which real-world practice has been profoundly shaped by financial theory.The book is suitable for both undergraduate and postgraduate students of business studies, finance, accounting, economics, and banking.This best-selling text explores how finance theory works in practice, teaching you how to make informed, successful financial decisions that are crucial for a career in business.Key features Financial techniques are illustrated in practical terms, using clear accessible language. New Financial Times articles help you see the relevance of the theory to the real-word Finance is presented as a dynamic, inter-disciplinary subject that is open to theoretical re-evaluation Worked examples and easy-to-follow mathematical explanations The latest statistics and data ranging from the number of corporate mergers to the default rates on corporate bonds Extensive range of examples, case studies and recommended websitesinsert My Finance Lab logoMyFinanceLab is an optional online resource that maps directly to Corporate Financial Management.