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Principles of corporate finance / Richard A. Brealey, Stewart C. Myers, Franklin Allen.

By: Contributor(s): Material type: TextTextSeries: McGraw-Hill/Irwin series in finance, insurance, and real estatePublisher: New York : McGraw-Hill/Irwin, [2011]Copyright date: ©2011Edition: Tenth editionDescription: various pagings : colour illustrations ; 27 cmContent type:
  • text
Media type:
  • unmediated
Carrier type:
  • volume
ISBN:
  • 0073530735
  • 9780073530734
  • 0077316479
  • 9780077316471
Subject(s): DDC classification:
  • 658.15 22
LOC classification:
  • HG4026 .B667 2011
Contents:
Pt. 1. Value -- 1. Goals and governance of the firm -- 2. How to calculate present values -- 3. Valuing bonds -- 4. The value of common stocks -- 5. Net present value and other investment criteria -- 6. Making investment decisions with the net present value rule -- Pt. 2. Risk -- 7. Introduction to risk and return -- 8. Portfolio theory and the capital asset pricing model -- 9. Risk and the cost of capital -- Pt. 3. Best practices in capital budgeting -- 10. Project analysis -- 11. Investment, strategy, and economic rents -- 12. Agency problems, compensation, and performance measurement -- Pt. 4. Financing decisions and market efficiency -- 13. Efficient markets and behavioral finance -- 14. An overview of corporate financing -- 15. How corporations issue securities -- Pt. 5. Payout policy and capital structure -- 16. Payout policy -- 17. Does debt policy matter? -- 19. Financing and valuation -- Pt. 6. Options -- 20. Understanding options -- 21. Valuing options -- 22. Real options -- 23. Credit risk and the value of corporate debt -- 24. The many different kinds of debt -- 25. Leasing -- Pt. 8. Risk management -- 26. Managing risk -- 27. Managing international risks -- Pt. 9. Financial planning and working capital management -- 28. Financial analysis -- 29. Financial planning -- 30. Working capital management -- Pt. 10. -- 31. Mergers -- 32. Corporate restructuring -- 33. Governance and corporate control around the world -- Pt. 11. Conclusion -- 34. Conclusion: What we do and do not do know about finance.
Summary: This new international edition provides increased coverage of the procedures for estimating the cost of capital, expanded coverage of risk management techniques and the use and misuse of derivatives, and additional coverage of agency problems.
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Holdings
Item type Current library Call number Copy number Status Date due Barcode
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A451569B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A452514B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A507850B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A499417B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A499413B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 2 Available A504141B
Book City Campus City Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 3 Available A499425B
Book South Campus South Campus Main Collection 658.15 BRE (Browse shelf(Opens below)) 1 Available A499421B

Includes bibliographical references and index.

Pt. 1. Value -- 1. Goals and governance of the firm -- 2. How to calculate present values -- 3. Valuing bonds -- 4. The value of common stocks -- 5. Net present value and other investment criteria -- 6. Making investment decisions with the net present value rule -- Pt. 2. Risk -- 7. Introduction to risk and return -- 8. Portfolio theory and the capital asset pricing model -- 9. Risk and the cost of capital -- Pt. 3. Best practices in capital budgeting -- 10. Project analysis -- 11. Investment, strategy, and economic rents -- 12. Agency problems, compensation, and performance measurement -- Pt. 4. Financing decisions and market efficiency -- 13. Efficient markets and behavioral finance -- 14. An overview of corporate financing -- 15. How corporations issue securities -- Pt. 5. Payout policy and capital structure -- 16. Payout policy -- 17. Does debt policy matter? -- 19. Financing and valuation -- Pt. 6. Options -- 20. Understanding options -- 21. Valuing options -- 22. Real options -- 23. Credit risk and the value of corporate debt -- 24. The many different kinds of debt -- 25. Leasing -- Pt. 8. Risk management -- 26. Managing risk -- 27. Managing international risks -- Pt. 9. Financial planning and working capital management -- 28. Financial analysis -- 29. Financial planning -- 30. Working capital management -- Pt. 10. -- 31. Mergers -- 32. Corporate restructuring -- 33. Governance and corporate control around the world -- Pt. 11. Conclusion -- 34. Conclusion: What we do and do not do know about finance.

This new international edition provides increased coverage of the procedures for estimating the cost of capital, expanded coverage of risk management techniques and the use and misuse of derivatives, and additional coverage of agency problems.

Machine converted from AACR2 source record.

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