Srivastava / Misra | Financial Management | Buch | 978-0-19-807207-2 | sack.de

Buch, Englisch, 840 Seiten, with CD, Format (B × H): 216 mm x 277 mm, Gewicht: 1656 g

Srivastava / Misra

Financial Management

Buch, Englisch, 840 Seiten, with CD, Format (B × H): 216 mm x 277 mm, Gewicht: 1656 g

ISBN: 978-0-19-807207-2
Verlag: Oxford University Press, USA


Financial Management is a comprehensive textbook for management students with a managerial decision-making orientation and application of concepts through case studies. The textbook deals with the concepts of core finance with emphasis on specialized sub-areas such as corporate finance, working capital, capital markets, investment decisions, international finance and derivatives and risk management in a student-friendly format and in a manner that imparts clarity and facilitates easy
understanding. The authors have tried to present technical concepts of finance in as simple and succinct manner as possible yet keeping the inherent technicalities intact.

The book is the right amalgamation of academic inputs as well as industry orientation. It is accompanied by a CD containing Excel-based exercises.
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Zielgruppe


Post-graduate management courses

Weitere Infos & Material


Part I: Introduction
1. Financial Management: An Overview
2.
Comparative and Historical Analysis
3. CVP and Breakeven Analysis
Part II: Valuation Concepts
4. Time Value of Money
5. Risk and Return
6. Valuation and Management of Bonds
7. Shares and Their Valuation
8. Portfolio Theory
9. Asset Pricing Models
10. Valuation
Part III: Investment Decision
11. Capital Budgeting-I
12. Capital Budgeting-II
13. Cost of Capital
14. Real Options
15. Mergers and Acquisitions
Part IV: Financing and Dividend Decisions
16. Capital Structure-Theory
17. Designing Capital Structure
18. Leasing and Hire Purchase
19. Dividend Decision
20. Sources of Finance
Part V: Working Capital Management
21. Working Capital Management: An Introduction
22. Inventory Management
23. Receivables Management
24. Cash Management
Part VI: International Financial Management
25. Foreign Exchange-Rates and Markets
26. Determining Foreign Exchange Rates
27. Managing Foreign Exchange Exposure
Part VII: Derivatives and risk management
28. Risk Management, Forwards & Future
29. Options
30. Interest Rate and Currency Swaps
Part VIII: Appendices
A-1 Future Value of Re 1 at r% after n Periods
A-2 Present Value of Re 1 Discounted at r% for n Periods
A-3 Future Value of Annuity of Re 1 at r% for n Periods
A-4 Present Value of Annuity at r% for n Periods
A-5 EMI Payable in Advance at r% for n Years
A-6 EMI Payable in Arrears at r% for n Years
A-7 (Ist Part) Area Under the Normal Distribution Curve (forPositive Values)
A-7 (2nd Part) Area Under the Normal Distribution Curve (for negative values)


Rajiv Srivastava is Professor at the Indian Institute of Foreign Trade, Delhi.

Anil Misra is Associate Professor of Accounting and Finance at the Management Development Institute (MDI), Gurgaon.


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