Fundamentals of Corporate Finance ISE

Author:   Richard Brealey ,  Stewart Myers ,  Alan Marcus
Publisher:   McGraw-Hill Education
Edition:   11th edition
ISBN:  

9781265102593


Pages:   800
Publication Date:   01 March 2022
Format:   Paperback
Availability:   In stock   Availability explained
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Fundamentals of Corporate Finance ISE


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Overview

Brealey, Fundamentals of Corporate Finance, 11e, is an introduction to corporate finance focusing on how companies invest in real assets, how they raise the money to pay for the investments, and how those assets ultimately affect the firm's value. It also provides a broad overview of the financial landscape. The book offers a framework for systematically thinking about most of the important financial problems that both firms and individuals are likely to confront: financial management is important, interesting, and challenging. Fundamentals focuses on setting out the basic principles of financial management and applying them to the main decisions faced by the financial manager. The text is also organized around the key concepts of modern finance. These concepts, properly explained, simplify the subject. They are also practical. Financial management tools are easier to grasp and use effectively when presented in a consistent conceptual framework.

Full Product Details

Author:   Richard Brealey ,  Stewart Myers ,  Alan Marcus
Publisher:   McGraw-Hill Education
Imprint:   McGraw-Hill Education
Edition:   11th edition
Weight:   1.411kg
ISBN:  

9781265102593


ISBN 10:   1265102597
Pages:   800
Publication Date:   01 March 2022
Audience:   College/higher education ,  Tertiary & Higher Education
Format:   Paperback
Publisher's Status:   Active
Availability:   In stock   Availability explained
We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately.

Table of Contents

Part 1 Introduction 1 Goals and Governance of the Corporation 2 Financial Markets and Institutions 3 Accounting and Finance 4 Measuring Corporate Performance Part 2 Value 5 The Time Value of Money 6 Valuing Bonds 7 Valuing Stocks 8 Net Present Value and Other Investment Criteria 9 Using Discounted Cash-Flow Analysis to Make Investment Decisions 10 Project Analysis Part 3 Risk 11 Introduction to Risk, Return, and the Opportunity Cost of Capital 12 Risk, Return, and Capital Budgeting 13 The Weighted-Average Cost of Capital and Company Valuation Part 4 Financing 14 Introduction to Corporate Financing 15 How Corporations Raise Venture Capital and Issue Securities Part 5 Debt and Payout Policy 16 Debt Policy 17 Payout Policy Part 6 Financial Analysis and Planning 18 Long-Term Financial Planning 19 Short-Term Financial Planning 20 Working Capital Management Part 7 Special Topics 21 Mergers, Acquisitions, and Corporate Control 22 International Financial Management 23 Options 24 Risk Management Part 8 Conclusion 25 What We Do and Do Not Know about Finance

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Author Information

Stewart C. Myers - Emeritus Professor of Financial Economics at MITs Sloan School of Management. He is past president of the American Finance Association, a research associate at the National Bureau of Economic Research, a principal of the Brattle Group Inc., and a retired director of Entergy Corporation. His research is primarily concerned with the valuation of real and financial assets, corporate financial policy, and financial aspects of government regulation of business. He is the author of influential research papers on many topics, including adjusted present value, rate of return regulation, pricing and capital allocation in insurance, real options, and moral hazard and information issues in capital structure decisions. Alan Marcus is the Mario J. Gabelli Professor of Finance in the Carroll School of Management at Boston College. He received his PhD in economics from MIT. Professor Marcus 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. Professor Marcus has published widely in the fields of capital markets and portfolio management. He also spent two years at the Federal Home Loan Mortgage Corporation (Freddie Mac), where he developed models of mortgage pricing and credit risk. He currently serves on the Research Foundation Advisory Board of the CFA Institute.

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