Corporate finance and investment : decisions and strategies.
1999
765
0-13-081270-6
131.55-PIKE
CORPORATE FINANCE ; INVESTMENT ; FINANCIAL MATHEMATICS ; STRATEGY ; PORTFOLIO MANAGEMENT ; CAPITAL MARKET ; MERGER AND ACQUISITION
No. | Call n° | Bar code | Commentary | |
---|---|---|---|---|
1 | [available] |
Contents : Contents
1. An Overview.
2. The Financial Environment.
3. Present Values and Wealth.
4. Valuation of Risky Assets.
5. Investment Appraisal Methods.
6. Project Appraisal- Applications.
7. Investment Practices and Processes.
8. Strategic Investment.
9. Analysing Investment Risk.
10. Portfolio Analysis.
11. Setting the Risk Premium.
12. The Required Rate of Return.
13. Identifying and Valuing Options.
14. Treasury Management.
15. Short-term Asset Management.
16. Short - and - Medium Term Finance.
17. The Dividend Decision.
18. Capital Structure and the Required Rate of Return.
19. Does Capital Structure Matter?
20. Acquisitions and Re-structuring.
Language : English
Print : 3ème
Figure(s) : Schémas
Location : Nice Library
Material : Paper
Statement : Présent