Ross, S: Corporate Finance: Core Principles and Applications
(Sprache: Englisch)
Corporate Finance: Core was developed for the graduate (MBA) level as a concise, up-to-date, and to-the-point product, the majority of which can be realistically covered in a single term or course. To achieve the objective of reaching out to the many...
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Corporate Finance: Core was developed for the graduate (MBA) level as a concise, up-to-date, and to-the-point product, the majority of which can be realistically covered in a single term or course. To achieve the objective of reaching out to the many different types of students and the varying course settings, corporate finance is distilled down to its core, while maintaining a decidedly modern approach. Purely theoretical issues are downplayed, and the use of extensive and elaborate calculations is minimized to illustrate points that are either intuitively obvious or of limited practical use. The goal was to focus on what students really need to carry away from a principles course. A balance is struck by introducing and covering the essentials, while leaving more specialized topics to follow-up courses. Net present value is treated as the underlying and unifying concept in corporate finance. Every subject covered is firmly rooted in valuation, and care is taken throughout to explain how particular decisions have valuation effects. Also, the role of the financial manager as decision maker is emphasized, and the need for managerial input and judgment is stressed.
Inhaltsverzeichnis zu „Ross, S: Corporate Finance: Core Principles and Applications “
PART ONE: OverviewCh. 1 Introduction to Corporate Finance
Ch. 2 Financial Statements and Cash Flow
Ch. 3 Financial Statements Analysis and Financial Models
PART TWO: Valuation and Capital Budgeting
Ch. 4 Discounted Cash Flow Valuation
Ch. 5 Interest Rates and Bond Valuation
Ch. 6 Stock Valuation
Ch. 7 Net Present Value and Other Investment Rules
Ch. 8 Making Capital Investment Decisions
Ch. 9 Risk Analysis, Real Options, and Capital Budgeting
PART THREE: Risk and Return
Ch. 10 Risk and Return: Lessons from Market History
Ch. 11 Return and Risk: The Capital Asset Pricing Model (CAPM)
Ch. 12 Risk, Cost of Capital, and Valuation
PART FOUR: Capital Structure and Dividend Policy
Ch. 13 Efficient Capital Markets and Behavioral Challenges
Ch. 14 Capital Structure: Basic Concepts
Ch. 15 Capital Structure: Limits to the Use of Debt
Ch. 16 Dividends and Other Payouts
PART FIVE: Special Topics
Ch. 17 Options and Corporate Finance
Ch. 18 Short-Term Finance and Planning
Ch. 19 Raising Capital
Ch. 20 International Corporate Finance
Ch. 21 Mergers and Acquisitions (web only)
Autoren-Porträt von Stephen Ross, Randolph Westerfield, Jeffrey Jaffe, Bradford Jordan
STEPHEN A. ROSS Sloan School of Management, Massachusetts Institute of Technology Stephen A. Ross was the Franco Modigliani Professor of Finance and Economics at the Sloan School of Management, Massachusetts Institute of Technology. One of the most widely published authors in finance and economics, Professor Ross was widely recognized for his work in developing the Arbitrage Pricing Theory and his substantial contributions to the discipline through his research in signaling, agency theory, option pricing, and the theory of the term structure of interest rates, among other topics. A past president of the American Finance Association, he also served as an associate editor of several academic and practitioner journals. He was a trustee of CalTech. He died suddenly in March of 2017.
Bibliographische Angaben
- Autoren: Stephen Ross , Randolph Westerfield , Jeffrey Jaffe , Bradford Jordan
- 6. Auflage, XXXV, 696 Seiten, Maße: 20,4 x 25,4 cm, Kartoniert (TB), Englisch
- Verlag: McGraw-Hill Education Ltd
- ISBN-10: 1260571122
- ISBN-13: 9781260571127
- Erscheinungsdatum: 14.01.2020
Sprache:
Englisch
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