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Modern financial management / Stephen A. Ross ... [et al..].

By: Contributor(s): Material type: TextSeries: McGraw-Hill/Irwin series in finance, insurance, and real estatePublication details: Boston : McGraw-Hill/Irwin, c2008.Edition: 8th edDescription: xxxiii, 926 p. : col. ill. ; 26 cmISBN:
  • 9780071100885 (pbk.)
  • 0071100881 (pbk.)
  • 9780071286527 (pbk. : label)
  • 0071286527 (pbk. : label)
Subject(s): LOC classification:
  • HG4011
Contents:
PART I 1 Introduction to Corporate Finance 2 Financial Statements and Cash Flow 3 Financial Statements Analysis and Long-Term Planning PART I 4 Discounted Cash Flow Valuation 5 How to Value Bonds and Stocks 6 Net Present Value and Other Investment Rules 7 Making Capital Investment Decisions 8 Risk Analysis, Real Options, and Capital Budgeting PART III 9 Risk and Return: Lessons from Market History 10 Return and Risk: The Capital Assets Pricing Model (CAPM) 11 An Alternative View of Risk and Return: The Arbitrage Pricing Theory 12 Risk, Cost of Capital, and Capital Budgeting 13 Corporate Financing Decisions and Efficient Capital Markets 14 Long-Term Financing: An Introduction 15 Capital Structure: Basic Concepts 16 Capital Structure: Limits to the Use of Debt 17 Valuation and Capital Budgeting for the Levered Firm 18 Dividends and Other Payouts PART V 19 Issuing Securities to the Public 20 Long-Term Debt 21 Leasing PART VI 22 Options and Corporate Finance 23 Options and Corporate Finance: Extensions and Applications 24 Warrants and Convertibles 25 Derivatives and Hedging Risk 26 Short-Term Finance and Planning 27 Cash Management 28 Credit Management 29 Mergers and Acquisitions 30 Financial Distress 31 International Corporate Finance
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Books Methodist University Library Main General Stacks Reference HG4011 (Browse shelf(Opens below)) Available 29559

"International student edition"

"This international student edition ... contains content that is different from its North American version."--Cover.

Previous eds. and North American version have title: Corporate finance.

PART I 1 Introduction to Corporate Finance 2 Financial Statements and Cash Flow 3 Financial Statements Analysis and Long-Term Planning PART I 4 Discounted Cash Flow Valuation 5 How to Value Bonds and Stocks 6 Net Present Value and Other Investment Rules 7 Making Capital Investment Decisions 8 Risk Analysis, Real Options, and Capital Budgeting PART III 9 Risk and Return: Lessons from Market History 10 Return and Risk: The Capital Assets Pricing Model (CAPM) 11 An Alternative View of Risk and Return: The Arbitrage Pricing Theory 12 Risk, Cost of Capital, and Capital Budgeting 13 Corporate Financing Decisions and Efficient Capital Markets 14 Long-Term Financing: An Introduction 15 Capital Structure: Basic Concepts 16 Capital Structure: Limits to the Use of Debt 17 Valuation and Capital Budgeting for the Levered Firm 18 Dividends and Other Payouts PART V 19 Issuing Securities to the Public 20 Long-Term Debt 21 Leasing PART VI 22 Options and Corporate Finance 23 Options and Corporate Finance: Extensions and Applications 24 Warrants and Convertibles 25 Derivatives and Hedging Risk 26 Short-Term Finance and Planning 27 Cash Management 28 Credit Management 29 Mergers and Acquisitions 30 Financial Distress 31 International Corporate Finance

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