BIBLIOTECA MANUEL BELGRANO - Facultad de Ciencias Económicas - UNC

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Corporate finance and investment : decisions and strategies / Richard Pike, Bill Neal.

Por: Colaborador(es): Tipo de material: TextoTextoIdioma: Inglés London : Prentice Hall Europe, 1999Edición: Third editionDescripción: xx, 765 páginas : gráficosTipo de contenido:
  • texto
Tipo de medio:
  • sin mediación
Tipo de soporte:
ISBN:
  • 0130812706
Tema(s): Clasificación CDD:
  • 22 658.152
Contenidos:
Preface to third edition -- Acknowledgements -- Pt. 1. A framework for financial decisions: 1. An overview of financial management -- 2. The financial environment -- 3. Present values and financial arithmetic -- 4. Valuation of assets, shares and companies -- Pt. 2. Investment decisions and strategies: 5. Investment appraisal methods -- 6. Project appraisal - aplications -- 7. Investment practices and processes -- 8. Strategic investment: domestic and overseas -- Pt. 3. Investment risk and return: 9. Analysing investment risk -- 10. Relationships between investments: portfolio theory -- 11. Setting the risk premium: the capital asset pricing model -- 12. The required rate of return on investment -- 13. Identifying and valuing options -- Pt. 4. Short-term financing and policies: 14. Treasury management and working capital policy -- 15. Short-term asset management -- 16. Short - and medium-term finance -- 17.Managing currency risk -- Pt. 5. Strategic financial decisions: 18. Sources of long-term finance -- 19. Returning value to shareholders: the dividend decision -- 20. Capital structure and the required return -- 21.Does capital structure really matter? -- 22. Acquisitions and restructuring -- 23. Comprehensive cases and exercises -- Appendix A. Solutions to selected problems -- Appendix B. Present value interest factor (PVIF) per £1 due at the end of n years -- Appendix C. Present value interest for an annuity (PVIFA) of £1 for n years -- References -- Index.
Existencias
Tipo de ítem Biblioteca actual Signatura topográfica Estado Fecha de vencimiento Código de barras
Libro Libro Biblioteca Manuel Belgrano 658.152 P 57057 (Navegar estantería(Abre debajo)) Disponible 57057

Bibliografía: páginas 744-753

Preface to third edition -- Acknowledgements -- Pt. 1. A framework for financial decisions: 1. An overview of financial management -- 2. The financial environment -- 3. Present values and financial arithmetic -- 4. Valuation of assets, shares and companies -- Pt. 2. Investment decisions and strategies: 5. Investment appraisal methods -- 6. Project appraisal - aplications -- 7. Investment practices and processes -- 8. Strategic investment: domestic and overseas -- Pt. 3. Investment risk and return: 9. Analysing investment risk -- 10. Relationships between investments: portfolio theory -- 11. Setting the risk premium: the capital asset pricing model -- 12. The required rate of return on investment -- 13. Identifying and valuing options -- Pt. 4. Short-term financing and policies: 14. Treasury management and working capital policy -- 15. Short-term asset management -- 16. Short - and medium-term finance -- 17.Managing currency risk -- Pt. 5. Strategic financial decisions: 18. Sources of long-term finance -- 19. Returning value to shareholders: the dividend decision -- 20. Capital structure and the required return -- 21.Does capital structure really matter? -- 22. Acquisitions and restructuring -- 23. Comprehensive cases and exercises -- Appendix A. Solutions to selected problems -- Appendix B. Present value interest factor (PVIF) per £1 due at the end of n years -- Appendix C. Present value interest for an annuity (PVIFA) of £1 for n years -- References -- Index.

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