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OverviewIn the fourth edition of Introduction to Corporate Finance, authors Laurence Booth and Sean Cleary welcome new author Ian Rakita. The addition of a new author further enhances this already great ground up Canadian text. The fourth edition has been revised to be even more user friendly and engaging. Content has been restructured with additional sub headings in some chapters and the merger of some sections in others—all with the goal of aiding comprehension and retention. The text continues to provide undergraduate students with the most thorough, accessible, accurate, and current coverage of the theory and application of corporate finance within a uniquely Canadian context. This text will provide students with the skills they need to succeed not only in the undergraduate course, but in their future careers. Full Product DetailsAuthor: Laurence Booth , Sean Cleary , Ian RakitaPublisher: John Wiley and Sons Ltd Imprint: John Wiley and Sons Dimensions: Width: 22.30cm , Height: 3.10cm , Length: 28.50cm Weight: 1.912kg ISBN: 9781119171287ISBN 10: 1119171288 Pages: 960 Publication Date: 18 May 2018 Audience: College/higher education , Tertiary & Higher Education Format: Hardback Publisher's Status: Active Availability: In Print ![]() This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us. Table of ContentsPART 1: THE FINANCIAL ENVIRONMENT 1 Chapter 1: An Introduction to Finance 3 Chapter 2: Business (Corporate) Finance 29 PART 2: FINANCIAL ANALYSIS TOOLS 55 Chapter 3: Financial Statements 57 Chapter 4: Financial Statement Analysis and Forecasting 97 PART 3: VALUATION BASICS 141 Chapter 5: Time Value of Money 143 Chapter 6: Bond Valuation and Interest Rates 185 Chapter 7: Equity Valuation 225 PART 4: PORTFOLIO AND CAPITAL MARKET THEORY 263 Chapter 8: Risk, Return, and Portfolio Theory 265 Chapter 9: The Capital Asset Pricing Model (CAPM) 307 Chapter 10: Market Efficiency 339 PART 5: DERIVATIVE SECURITIES 371 Chapter 11: Forwards, Futures, and Swaps 373 Chapter 12: Options 415 PART 6: LONG-TERM INVESTMENT DECISIONS 455 Chapter 13: Capital Budgeting, Risk Considerations, and Other Special Issues 457 Chapter 14: Cash Flow Estimation and Capital Budgeting Decisions 493 Chapter 15: Mergers and Acquisitions 529 Chapter 16: Leasing 571 PART 7: LONG-TERM FINANCING 599 Chapter 17: Investment Banking and Securities Law 601 Chapter 18: Debt Instruments 631 Chapter 19: Equity and Hybrid Instruments 659 Chapter 20: Cost of Capital 693 PART 8: FINANCIAL POLICIES 739 Chapter 21: Capital Structure Decisions 741 Chapter 22: Dividend Policy 785 PART 9: WORKING CAPITAL MANAGEMENT 817 Chapter 23: Working Capital Management: General Issues 819 Chapter 24: Working Capital Management: Current Assets and Current Liabilities 843 Appendix 1 869 Index 871ReviewsAuthor InformationTab Content 6Author Website:Countries AvailableAll regions |