Principles of corporate finance / Richard A. Brealey (Professor of Finance, London Business School), Stewart C. Myers (Robert C. Merton (1970) Professor of Finance, Sloan School of Management, Massachusetts Institute of Technology), Franklin Allen (Professor of Finance and Economics, Imperial College London and Nippon Life Professor of Finance, The Wharton School, University of Pennsylvania)
By: Brealey, Richard A [author]
Contributor(s): Myers, Stewart C [author] | Allen, Franklin [author]
Publisher: New York, NY: McGraw-Hill Education, [2017]Copyright date: c2017Edition: Twelfth editionDescription: 1 volume (various pagings) ; color illustrations: 26 cmContent type: rdacontent Media type: rdamedia Carrier type: rdacarrierISBN: 9781259253331Subject(s): Corporations -- FinanceItem type | Current location | Home library | Call number | Status | Date due | Barcode | Item holds |
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COLLEGE LIBRARY | COLLEGE LIBRARY SUBJECT REFERENCE | 658.15 B7405 2017 (Browse shelf) | Available | CITU-CL-48067 |
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658.15 B74 1995 Fundamentals of corporate finance / | 658.15 B74 2000 Principles of corporate finance / | 658.15 B74 2001 Fundamentals of corporate finance / | 658.15 B7405 2017 Principles of corporate finance / | 658.15 B768 1983 Fundamentals of financial management / | 658.15 B768 1983 Fundamentals of financial management / | 658.15 B768 1985 Financial management : theory and practice / |
Part One: Value
Chapter: 1. Introduction to Corporate Finance
Chapter: 2. How to Calculate Present Values
Chapter: 3. Valuing Bonds
Chapter: 4. The Value of Common 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 and Return
Chapter: 8. Portfolio Theory and 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. Investment, Strategy, and Economic Rents
Chapter: 12. Agency Problems, Compensation, and Performance Measurement
Part Four: Financing Decisions and Market Efficiency
Chapter: 13. Efficient Markets and Behavioral Finance
Chapter: 14. An Overview of Corporate Financing
Chapter: 15. How Corporations Issue Securities
Part Five: Payout Policy and Capital Structure
Chapter: 16. Payout Policy
Chapter: 17. Does Debt Policy Matter?
Chapter: 18. How Much Should a Corporation Borrow?
Chapter: 19. Financing and Valuation
Part Six: Options
Chapter: 20. Understanding Options
Chapter: 21. Valuing Options
Chapter: 22. Real Options
Part Seven: Debt Financing
Chapter: 23. Credit Risk and the Value of Corporate Debt
Chapter: 24. The Many Different Kinds of Debt
Chapter: 25. Leasing
Part Eight: Risk Management
Chapter: 26. Managing Risk
Chapter: 27. Managing International Risks
Part Nine: Financial Planning and Working Capital Management
Chapter: 28. Financial Analysis
Chapter: 29. Financial Planning
Chapter: 30. Working Capital Management
Part Ten: Mergers, Corporate Control, and Governance
Chapter: 31. Mergers
Chapter: 32. Corporate Restructuring
Chapter: 33. Governance and Corporate Control Around the World
Part Eleven: Conclusion
Chapter: 34. Conclusion: What We Do and Do Not Know About Finance
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