Corporate Finance A Focused Approach 5th Edition Ehrhardt Test Bank
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Corporate Finance A Focused Approach 5th Edition Ehrhardt Test Bank.
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$26.99
$50.00
Corporate Finance A Focused Approach 5th Edition Ehrhardt Test Bank
Product details:
- ISBN-10 : 1133947530
- ISBN-13 : 978-1133947530
- Author: Dr. Michael C. Ehrhardt
Focus on the financial concepts, skills, and technological applications that are most critical for MBA students in today�s workplace with Ehrhardt/Brigham�s CORPORATE FINANCE: A FOCUSED APPROACH 5E. The text provides an in-depth treatment of essential corporate finance topics within a streamlined presentation that can be completed in a single semester. With its relevant and engaging presentation and numerous examples, students will learn the latest financial developments as they also learn how to maximize a firm�s value in today�s changing business world. Students will master the many features and functions of spreadsheets with chapter Excel Tool Kits, Build a Model problems, and Mini Cases that encourage �what-if� analysis on a real-time basis. Students will also gain hands-on experience using Thomson ONE Business School Edition, which gives students access to the same Thomson Reuters Financial database that business professionals use every day.
Table contents:
PART I: FUNDAMENTAL CONCEPTS OF CORPORATE FINANCE.
1. An Overview of Financial Management and the Financial Environment. Web Extensions 1A: An Overview of Derivatives; 1B: A Closer Look at the Stock Markets
2. Financial Statements, Cash Flow, and Taxes. Web Extensions 2A: The Federal Income Tax System for Individuals.
3. Analysis of Financial Statements. PART II: FIXED INCOME SECURITIES.
4. Time Value of Money. Web Extensions 4A: The Tabular Approach; 4B: Derivation of Annuity Formulas; 4C: Continuous Compounding.
5. Bonds, Bond Valuation, and Interest Rates. Web Extensions 5A: A Closer Look at Zero Coupon Bonds; 5B: A Closer Look at TIPS: Treasury Inflation Protected Securities; 5C: A Closer Look at Bond Risk: Duration; 5D: The Pure Expectations Theory and Estimation of Forward Rates. PART III: STOCKS AND OPTIONS.
6. Risk, Return, and the Capital Asset Pricing Model. Web Extensions 6A: Continuous Probability Distributions; 6B: Estimating Beta with a Financial Calculator.
7. Stocks, Stock Valuation, and Stock Market Equilibrium. Web Extensions 7A: Derivation of Valuation Equations.
8. Financial Options and Applications in Corporate Finance. PART IV: PROJECTS AND THEIR VALUATION.
9. The Cost of Capital. Web Extensions 9A: The Required Return Assuming Nonconstant Dividends and Stock Repurchases.
10. The Basics of Capital Budgeting: Evaluating Cash Flows. Web Extensions 10A: The Accounting Rate of Return (ARR).
11. Cash Flow Estimation and Risk Analysis. Web Extensions 11A: Certainty Equivalents and Risk-Adjusted Discount Rates. PART V: CORPORATE VALUATION AND GOVERNANCE.
12. Financial Planning and Forecasting Financial Statements. Web Extensions 12A: Advanced Techniques for Forecasting Financial Statements Accounts.
13. Corporate Valuation, Value-Based Management and Corporate Governance. PART VI: CASH DISTRIBUTIONS AND CAPITAL STRUCTURE.
14. Distributions to Shareholders: Dividends and Repurchases.
15. Capital Structure Decisions. Web Extensions 15A: Degree of Leverage. PART VII: MANAGING GLOBAL OPERATIONS.
16. Working Capital Management. Web Extensions 16A: Secured Short-Term Financing.
17. Multinational Financial Management. APPENDIXES. A. Solutions to Self-Test Problems. B. Answers to End-of-Chapter Problems. C. Selected Equations and Data. D. Values of the Areas under the Standard Normal Distribution Function. Glossary. Name Index. Subject Index.
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