Description |
ix, 477 pages : illustrations ; 25 cm |
Series |
Brealey & Myers on corporate finance
|
Contents |
Pt. 1. Financing Decisions and Market Efficiency. Ch. 1. Finance and the Financial Manager. Ch. 2. An Overview of Corporate Financing. Ch. 3. How Corporation Issue Securities. Ch. 4. Corporate Financing and the Six Lessons of Market Efficiency -- Pt. 2. Dividend Policy and Capital Structure. Ch. 5. Does Debt Policy Matter? Ch. 6. How Much Should a Firm Borrow? Ch. 7. The Dividend Controversy -- Pt. 3. Options. Ch. 8. Spotting and Valuing Options. Ch. 9. Warrants and Convertibles -- Pt. 4. Debt Financing. Ch. 10. Valuing Debt. Ch. 11. The Many Different Kinds of Debt. Ch. 12. Leasing -- Pt. 5. Risk Management. Ch. 13. Managing Risk. Ch. 14. Managing International Risks -- Pt. 6. Financial Planning. Ch. 15. Financial Analysis and Planning. Ch. 16. Short-Term Financial Planning -- Pt. 7. Short-Term Financial Management. Ch. 17. Credit Management. Ch. 18. Cash Management. Ch. 19. Short-Term Lending and Borrowing |
Summary |
"Financing and Risk Management belies the notion that corporate finance texts must be dull. This handbook for practicing professional combines in-depth finance information and methodology with dynamic and often humorous writing as it focuses on the many issues professionals face as they take on questions of financing."--BOOK JACKET |
Bibliography |
Includes bibliographical references and index |
Subject |
Corporations -- Finance.
|
|
Risk management.
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Author |
Myers, Stewart C.
|
|
Brattle Group.
|
LC no. |
2003268503 |
ISBN |
0071383786 |
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