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Part One: Value
Chapter 1 Introduction to Corporate Finance Chapter 2 How to Calculate Present Values Chapter 3 Valuing Bonds Chapter 4 Valuing Stocks Chapter 5 Net Present Value and Other Investment Criteria Chapter 6 Making Investment Decisions with the Net Present Value Rule Part Two: Risk Chapter 7 Introduction to Risk, Diversification, and Portfolio Selection Chapter 8 The Capital Asset Pricing Model Chapter 9 Risk and the Cost of Capital Part Three: Best Practices in Capital Budgeting Chapter 10 Project Analysis Chapter 11 How to Ensure That Projects Truly Have Positive NPVs Part Four: Financing Decisions and Market Efficiency Chapter 12 Efficient Markets and Behavioral Finance Chapter 13 An Overview of Corporate Financing Chapter 14 How Corporations Issue Securities Part Five: Payout Policy and Capital Structure Chapter 15 Payout Policy Chapter 16 Does Debt Policy Matter? Chapter 17 How Much Should a Corporation Borrow? Chapter 18 Financing and Valuation Part Six: Corporate Objectives and Governance Chapter 19 Agency Problems, Management Compensation, and the Measurement of Performance Chapter 20 Stakeholder Capitalism and Corporate Governance Part Seven: Options Chapter 21 Understanding Options Chapter 22 Valuing Options Chapter 23 Real Options Part Eight: Debt Financing Chapter 24 Credit Risk and the Value of Corporate Debt Chapter 25 The Many Different Kinds of Debt Chapter 26 Leasing Part Nine: Risk Management 9781265087586Chapter 27 Managing Risk Chapter 28 Managing International Risks Part Ten: Financial Planning and Working Capital Management Chapter 29 Financial Analysis Chapter 30 Financial Planning Chapter 31 Working Capital Management Part Eleven: Mergers, Corporate Control, and Governance Chapter 32 Mergers Chapter 33 Corporate Restructuring |