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Fundamentals of Corporate Finance

ISBN-10: 0072557524
ISBN-13: 9780072557527
Edition: 4th 2004
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Description: Prepared by Matthew Will of the University of Indianapolis, the Study Guide contains a thorough list of activities for the student, including an introduction to the chapter, sources of business information, key concepts and terms, sample problems  More...

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Book details

Edition: 4th
Copyright year: 2004
Publisher: McGraw-Hill Companies, The
Binding: Hardcover
Weight: 4.378
Language: English

Prepared by Matthew Will of the University of Indianapolis, the Study Guide contains a thorough list of activities for the student, including an introduction to the chapter, sources of business information, key concepts and terms, sample problems with solutions, integrated PowerPoint slides, and related web links.

McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide

Alan Marcus is professor of finance in the Wallace E. Carroll School of Management at Boston College. He received his PHD in Economics from MIT in 1981. Professor Marcus recently has been a visiting professor at the Athens Laboratory of Business Administration and at MIT’s Sloan School of Management and has served as a research associate at the National Bureau of Economic Research. He also established the Chartered Financial Analysts Review Program at Boston College. Professor Marcus has published widely in the fields of capital markets and portfolio management, with an emphasis on applications of futures and options pricing models. His consulting work has ranged from new product development to provision of expert testimony in utility rate proceedings. He also spend two years at the Federal Home Loan Mortgage Corporation (Freddie Mac), where he developed models of mortgage pricing and credit risk, and he currently serves on the Advisory Council for the Currency Risk Management Alliance of State Street Bank and Windham Capital Management Boston.

Introductionp. 1
The Firm and the Financial Managerp. 3
Accounting and Financep. 29
Valuep. 51
The Time Value of Moneyp. 53
Valuing Bonds and Stocksp. 103
Net Present Value and Other Investment Criteriap. 147
Using Discounted Cash-Flow Analysis to Make Investment Decisionsp. 183
Project Analysisp. 207
Riskp. 235
Introduction to Risk, Return, and the Opportunity Cost of Capitalp. 237
Risk, Return, and Capital Budgetingp. 267
The Cost of Capitalp. 293
Financingp. 319
Corporate Financing and the Lessons of Market Efficiencyp. 321
An Overview of Corporate Financingp. 341
How Corporations Issue Securitiesp. 367
Capital Structure and Dividend Policyp. 393
Debt Policyp. 395
Dividend Policyp. 427
Financial Planningp. 451
Financial Statement Analysisp. 453
Financial Planningp. 483
Working Capital Management and Short-Term Planningp. 509
Short-Term Financial Decisionsp. 541
Cash and Inventory Managementp. 543
Credit Management and Bankruptcyp. 567
Special Topicsp. 593
Mergers, Acquisitions, and Corporate Controlp. 595
International Financial Managementp. 623
Optionsp. 651
Risk Managementp. 677
Conclusionp. 697
What We Do and Do Not Know about Financep. 699
Present Value Tablesp. 713
App. B: Answers to Selected End-of-Chapter Problemsp. 723
Glossaryp. 737
Indexp. 742
Table of Contents provided by Blackwell. All Rights Reserved.

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