《財務管理與政策 第十二版》

《財務管理與政策(第12版)》是財務管理領域最優秀的教材之一,歷經十餘次修訂暢銷不衰,被美國及世界各地眾多高校所採用,是經濟管理類本科生、研究生和MBA學生的經典教材。新版教材保留了上一版本的風格和特色,結合財務管理的發展趨勢和最新的研究成果,採用深入淺出、循序漸進的敘述方法,側重闡明財務管理理論如何幫助公司進行決策。新版教材新增了一些案例和例題,並對一些歐美資本市場新興的金融工具加以介紹,輔以大量的例題和練習,結構嚴謹、講解清晰、易於讀者理解和掌握。

財務管理與政策 第十二版 內容簡介

本書因它有效的綜合財政方法和實踐倍受觀注。本書中探索了迅速發展中的財政理論,它講述了一個公司在資產,金融和紅利方面的投資狀況,書中闡明了一種分析技巧的方法,這種方法被用於金融決策制定和提供制度上所必須的素材。原名《Financial Management and Policy, 12th》。

財務管理與政策 第十二版 本書目錄

I. FOUNDATIONS OF FINANCE.
Vignette: Problems at Gillette.
1. Goals and Functions of Finance.
2. Concepts in Valuation.
3. Market Risk and Returns.
4. Multi Variable and Factor Valuation.
5. Option Valuation.
II. INVESTMENT IN ASSETS AND REQUIRED RETURNS. Case: Fazio Pump Corporation.
6. Principles of capital Investment.
7. Risk and Real Options in Capital Budgeting.
8. Creating Value through Required Returns.
III. FINANCING AND DIVIDEND POLICIES. Case: Restructuring the Capital Structure at Marriott.
9. Theory of Capital Structure.
10. Making Capital Structure Decisions.
11. Dividends and Share Repurchase: Theory and Practice.
IV. TOOLS OF FINANCIAL ANALYSIS AND CONTROL. Case: Morley Industries, Inc.
12. Financial Ratio Analysis.
13. Financial Planning.
V. LIQUIDITY AND WORKING CAPITAL MANAGEMENT. Case: Caceres Semilla S.A. deC.V.
14. Liquidity, Cash, and marketable Securities.
15. Management of Accounts Receivable and Inventories.
16. Liability Management and Short/Medium Term Financing.
VI. CAPITAL MARKET FINANCING AND RISK MANAGEMENT. Case: Dougall & Gilligan Global Agency.
17. Foundations for Longer-Term Financing.
18. Lease Financing.
19. Issuing Securities.
20. Fixed-Income Financing and Pension Liability.
21. Hybrid Financing through Equity-Linked Securities.
22. Managing Financial Risk.
VII. EXPANSION AND CONTRACTION. Case: Rayovac Corporation.
23. Mergers and the Market for Corporate Control.
24. Corporate and Distress Restructuring.
25. International Financial Management.

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