Taxmann S Financial Management A Self Sufficient Treatise Presenting Concepts Theories Underlying Financial Management In A Systematic Precise Analytical Manner

Taxmann S Financial Management A Self Sufficient Treatise Presenting Concepts Theories Underlying Financial Management In A Systematic Precise Analytical Manner Book in PDF, ePub and Kindle version is available to download in english. Read online anytime anywhere directly from your device. Click on the download button below to get a free pdf file of Taxmann S Financial Management A Self Sufficient Treatise Presenting Concepts Theories Underlying Financial Management In A Systematic Precise Analytical Manner book. This book definitely worth reading, it is an incredibly well-written.

Taxmann's Financial Management – A Self-Sufficient Treatise presenting Concepts & Theories underlying Financial Management in a Systematic, Precise & Analytical Manner

Author : Dr. R. P. Rustagi
Publisher : Taxmann Publications Private Limited
Page : 40 pages
File Size : 51,7 Mb
Release : 2021-11-11
Category : Education
ISBN : 9789392211911

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Taxmann's Financial Management – A Self-Sufficient Treatise presenting Concepts & Theories underlying Financial Management in a Systematic, Precise & Analytical Manner by Dr. R. P. Rustagi Pdf

Maximization of shareholders' wealth within the risk-return set-up of the firm is the unifying concept of the textbook. The objective of this book is two-fold: • Present concepts, models and theories of finance in a simple, comprehensive and lucid form • Help practising managers to apply these concepts in dealing with operational situations This book aims to fulfil the requirement of students preparing for professional exams conducted by ICAI, ICSI, ICWAI & students of post-graduate courses in commerce and management. This book will also be helpful for financial executives in updating the knowledge about current thinking and developments taking place in financial management. The Present Publication is the 6th Revised & Reprint Edition, authored by Dr. R.P. Rustagi, with the following noteworthy features: • [Simple, Systematic & Comprehensive Explanation] The subject matter is presented in a simple, systematic method along with a comprehensive explanation of the concept and theories underlying financial management. The book tries to explain the subject matter in terms of realistic and practical examples. • [Student-Oriented Book] This book has been developed, keeping in mind the following factors: o Interaction of the author/teacher with their students in the classroom o Shaped by the author/teachers experience of teaching the subject-matter at different levels for more than three decades o Reaction and responses of students have also been incorporated at different places in the book • [Practical Solutions] The problems the financial managers may face and the decisions they must make have been explained in terms of this objective and the risk-return trade-off • [Indian Capital Market in a Capsuled Form] Analysis & discussion on the changing structure of Indian Capital Markets • [Highlights & Summaries] of every chapter have been provided in the form of Points to Remember • [Latest Question Papers, 600+ Examples & Graded Illustrations] have been updated throughout the book • [Case Studies] are provided in this book dealing with various areas of Working Capital Management with selected hints • [Financial Decision Making through EXCEL] is explained with the help of several numerical examples from different topics • The scope of the following chapter has been broadened: o Treasury Management o Calculation of β, Portfolio Evaluation. Sharpe Index, Treynor Index, etc. o Valuation of Futures and Swaps and Credit Derivatives o Appendix 9A: Real Options and Capital Budgeting o Miller's preposition on Capital Structure o Pecking Order Theory; Project Financing and Project β o Lintner Model, Clientele Effect o Sources of Foreign Capital, Euro Issues, ADRs, GDRs, etc. o External Funds Requirement o Fisher Effect, Covered Interest Arbitrage, Use of Futures and Options to manage Foreign Exchange Risk o Securities Lending Scheme, Green Shoe Option, Indian Depository Receipts, Demutualization of Stock Exchanges, Terms commonly used in Capital Market. • The structure of this book is as follows: o Points to Remember o Graded Illustrations o Object Type Questions (True/False) o Multiple Choice Questions o Assignments o Problems (Unsolved Questions with Answers) • Contents of this book are as follows: o Part I – Background o Part II – Valuation and Risk Management o Part II – Long-Term Investment Decisions: Capital Budgeting o Part IV – Financing Decision o Part V – Divided Decision o Part VI – Management of Current Assets o Part VII – Long-Term Finance and Financial Services o Part VIII – Financial Analysis and Planning o Part IX – Miscellaneous Topics o Part X – Indian Capital Market

Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc.

Author : Prof. Madhu Vij
Publisher : Taxmann Publications Private Limited
Page : 21 pages
File Size : 52,8 Mb
Release : 2021-12-10
Category : Education
ISBN : 9789392211805

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Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc. by Prof. Madhu Vij Pdf

International Financial Management provides an effective and detailed presentation of important concepts and practical application in today’s global business environment, which includes: • Foreign Exchange Market • International Financial System • Eurocurrency Market • Currency Futures & Options • Swaps • Country Risk Analysis • Capital Budgeting The key highlight of this book is that it uses several examples (both numerical & theoretical) to highlight the applications of various dimensions of international finance. This book aims to fulfil the requirement of students of PGDM, MBA, M.Com., Master of Economics, Master of Finance & Control (MFC), MIB, other Post Graduate Diploma in Risk Management & other post-graduate specialized disciplines. The Present Publication is the 4th Edition, authored by Prof. Madhu Vij. The book has been organized around five major areas, namely: • [International Financial Environment] emphasizing its institutional set-up while discussing why is it important to study international finance. This area is further subdivided into four chapters, namely: o Overview of the International Financial Management o History of International Monetary System; Emphasis on Bretton Woods System o International Financial Institutions with a particular focus on the World Bank, International Monetary Fund (IMF), and European Monetary System o Balance of Payment Concepts and Accounting • [The Foreign Exchange Markets] o Derivatives o Foreign Currency Futures and Options Contracts that are traded on Stock Exchanges o Forex Markets with an emphasis on Fundamentals of Forex Trading, Overview of Operations of the Spot and Foreign Exchange Markets, How is Foreign Exchange Quoted and Traded Worldwide • [Managing Foreign Exchange Exposure] o Management of Foreign Exchange Risk with a discussion on kinds of exposure MNCs face o Translation Exposure or Accounting Exposure, which discusses the various methods for translating financial statements o Management of Transaction Exposure that arises from contractual obligations denominated in a foreign currency o Management of Economic Exposure • [Financial Management of the Multinational Firm] o Foreign Direct Investment o Cost of Capital and Capital Structure of the MNC o Application and Interpretation of MNC Capital Budgeting explaining various methods with the help of numerical examples and case studies o Multinational Cash Management o Identifies and Analyses the Various Dimensions of Country Risk Analysis o Eurocurrency and Eurobond Market • [Managing Foreign Operations] o Interest Rate and Currency Swaps explaining how they can be used to reduce financing costs and risks o Global Depository Receipts and American Depository Receipts

Taxmann's Fundamentals of Financial Management – Student-oriented book in a simple, systematic & comprehensive manner with MCQs, graded illustrations, theoretical questions, etc. | B.Com. (Hons.)

Author : Dr. R.P. Rustagi
Publisher : Taxmann Publications Private Limited
Page : 42 pages
File Size : 46,6 Mb
Release : 2023-06-02
Category : Education
ISBN : 9789357780810

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Taxmann's Fundamentals of Financial Management – Student-oriented book in a simple, systematic & comprehensive manner with MCQs, graded illustrations, theoretical questions, etc. | B.Com. (Hons.) by Dr. R.P. Rustagi Pdf

This book has been designed to discuss the fundamental concepts, procedures and practices of Financial Management. This book aims to fulfil the requirement of students for undergraduate courses in commerce and management, particularly the B.Com. (H) III/V Semester of Delhi University and other Central Universities throughout India. The Present Publication is the 18th Edition, authored by Dr R.P. Rustagi, with the following noteworthy features: • [Simple, Systematic & Comprehensive Explanation] The subject matter is presented in a simple, systematic method and a comprehensive explanation of the concepts and theories underlying financial management. The book tries to explain the subject matter in a non-mathematical and non-technical way • [Student-Oriented Book] This book has been developed keeping in mind the following factors: o Interaction of the author/teacher with their students in the classroom o Shaped by the authors'/teachers' experience of teaching the subject matter at different levels o Reactions and responses of students have also been incorporated at different places in the book • [MCQs & Theoretical Questions] have been added at the end of different chapters • [Working Notes & Explanations] have been added at various places • [Graded Illustrations] are added to explain the calculations and assumptions • [Financial Decision Making through EXCEL] is presented with the help of several numerical examples from different topics • [Latest Question Papers] Questions that appeared in the Latest Question Paper of Delhi University have been incorporated at appropriate places • [New Chapter on Capital Budgeting: Techniques of Evaluation] has the following features: o Basic principles of calculation of Cash Flows for capital budgeting proposals have been summarised for quick reference o A new section to deal with the Analysis of Risk in Capital Budgeting proposals has been introduced o Discussions on the Modified Internal Rate of Return have been inserted. • The structure of this book is as follows: o Synopsis (Chapter Plan) o Main Body (Contents) o Points to Remember o Graded Illustrations o Object Type Questions (True/False) o Multiple Choice Questions o Theoretical Assignments o Problems (Unsolved Questions with Answers) Contents of this book are as follows: • Background o Introduction to financial management, finance function and financial decision-making have been explained in Part I. The basic concepts of Risk-Return trade-off and the Time Value of Money have also been explained in detail in Part I, comprising of Chapters 1 and 2 • Long-Term Investment Decisions: Capital Budgeting o Part II of the book deals with long-term investment decisions, i.e. the capital budgeting process. Chapter 3 explains the significance and process of capital budgeting. The different evaluation techniques of capital budgeting proposals have been discussed in Chapter 4. • Financing Decision o The Financing Decision deals with the leverage and the formation of the capital structure of any firm, and it has been discussed in detail in Part III. The cost of capital, an important concept for capital budgeting and financing decisions, has been taken up in Chapter 5. Chapters 6 and 7 deal with the Leverage Analysis and EBIT-EPS Analysis. Different theories on the relationship between the leverage, cost of capital and value of the firm have been taken up in Chapter 8. The theoretical considerations for planning the capital structure have been summarised in Chapter 9 of the book. • Divided Decision o Part IV (Chapters 10 & 11) deals with another important area of decision-making, i.e. the Dividend Decision. Besides giving an analytical overview of different models on the relationship between dividend decisions and the value of the firm, an attempt has also been made to provide the determinants of dividend policy for any firm. • Management of Current Assets o Part V deals with the management of current assets (total as well as individual). Chapter 12 deals with the planning and management of total working capital and discusses the basic trade-off between liquidity and profitability. The estimation of the total working capital requirement has been taken up in Chapter 13. The management of individual elements of working capital, i.e., the Cash, Receivables and Inventory, has been taken up in Chapters 14, 15 and 16 of the book. • Valuation o Valuation of Securities has been discussed in Chapter 17 in Part VI of the book • Appendices o Financial Decision-Making with Excel o Past Year Question Papers with Suggested Answers to Practical Questions o Mathematical Tables

Taxmann's Financial Markets Institutions & Services – Comprehensive & authentic textbook providing basic working knowledge in a simple & systematic manner, along with illustrations, case studies, etc.

Author : Dr. Vinod Kumar , Manmeet Kaur & Atul Gupta
Publisher : Taxmann Publications Private Limited
Page : 24 pages
File Size : 52,9 Mb
Release : 2021-07-26
Category : Education
ISBN : 9789391596279

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Taxmann's Financial Markets Institutions & Services – Comprehensive & authentic textbook providing basic working knowledge in a simple & systematic manner, along with illustrations, case studies, etc. by Dr. Vinod Kumar , Manmeet Kaur & Atul Gupta Pdf

This book is a comprehensive & authentic book on 'Financial Markets & Institutions. This book aims to provide students with a basic knowledge of financial markets and institutions in India. It also familiarises the reader with the important fee and fund-based financial services. This book aims to fulfil the requirement of students of undergraduate courses in commerce and management, particularly the following: · B.Com.(Hons.)/B.Com. under Choice Based Credit System (CBCS) Programme · Non-Collegiate Women's Education Board · School of Open Learning of University of Delhi · Various Central Universities throughout India · BBA/MBA and other Management Courses of various institutions teaching papers like Indian Financial System, Financial Markets or Merchant Banking · Useful for financial market aspirants and covers topics like Stock Markets, Bond Markets, Insurance and Commercial Banking The Present Publication is the 2nd Edition, authored by Dr. Vinod Kumar, Atul Gupta & Manmeet Kaur, with the following noteworthy features: · [Simple & Systematic Manner] The subject matter is presented in a simple, systematic method along with a comprehensive explanation of the concept and theories underlying Financial Markets and Institutions · [Amended] Latest Rules & Regulations of the regulatory bodies like RBI, IRDA and SEBI are covered · [Summary Points] are given at the end of each chapter for revision · [Figures, Tables & Graphs] have been incorporated to make the reader understand the difficult concepts · [Student-Oriented Book] This book has been developed, keeping in mind the following factors: o Interaction of the author/teacher with their students in the classroom o Shaped by the author/teachers experience of teaching the subject-matter at different levels o Reaction and responses of students have also been incorporated at different places in the book · [Practical Real-Life Illustrations & Cases] to demonstrate the actual working of the Money Markets, Capital Markets, Banking and Insurance Services Industry along with many financial services like Leasing, Hire Purchase, Venture Capital, Credit Rating and Portfolio Management Services, etc. Contents of this book are as follows: · Introduction to Financial System · Money Markets · Capital Markets Instruments · Indian Debt Markets · Primary Markets · Secondary Markets · SEBI and Investor Protection · Financial Institutions · Commercial Banking · Life and Non-Life Insurance Companies in India · Mutual Funds · Non-Banking Finance Companies · Overview of Financial Services Industry · Merchant Banking · Leasing and Hire Purchase · Venture Capital and Factoring Services · Credit Rating · Consumer and Housing Finance · Letter of Credit and Bank Guarantee · Financial Counselling and Portfolio Management Services

Taxmann's Financial Management | Theory | Problems | Cases – Blend of theory & practical application, following a business-oriented approach enabling readers to analyze company reports effectively

Author : Ravi M. Kishore,Prof. (Dr.) Padma Sai Arora
Publisher : Taxmann Publications Private Limited
Page : 45 pages
File Size : 47,8 Mb
Release : 2023-09-26
Category : Education
ISBN : 9789357780841

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Taxmann's Financial Management | Theory | Problems | Cases – Blend of theory & practical application, following a business-oriented approach enabling readers to analyze company reports effectively by Ravi M. Kishore,Prof. (Dr.) Padma Sai Arora Pdf

This book adopts an enhanced business-oriented methodology for teaching and learning financial management. Aimed at fostering an in-depth and comprehensive understanding of the subject, it takes a holistic approach that melds theory with practical applications to real-world scenarios. The structure of this book is meticulously designed to elaborate on the diverse principles and techniques of financial management. Upon completion, readers will be equipped to scrutinize the annual reports of various companies and analyze the information more effectively. This book is designed for individuals seeking to understand financial management's core principles and theories. Primarily, it is tailored for postgraduate students enrolled in business schools. Additionally, undergraduate students pursuing B.Com. (Hons.), B.Com. (Prog.), and B.A. (Prog.) from various universities and professional institutes will also find this book beneficial. The Present Publication is the 9th Edition, authored by Ravi M. Kishore and Prof. (Dr) Padma Sai Arora, with the following noteworthy features: • [Principles and Techniques of Financial Management] are explained in a detailed manner • [Easy-to-understand Style] has been followed throughout the book to explain the concepts in detail • [Extensive Descriptive Explanations] are presented in this book, followed by figures and diagrams • [Cases to Prepare the Base for Financial Principles and Concepts] is included in each of the six parts • [Case Studies] at the end of each chapter is easy to relate to and has been prepared to make way for discussions • [Solved Miscellaneous Illustrations] are given for better understanding • [Practice Questions] Readers can test their knowledge after going through each chapter by solving practice questions • [Multiple Choice Questions (MCQs)] have also been incorporated to help prepare for quiz/assignment • [Learning in line with Industry Trends] has been incorporated in this book by giving annual reports of different companies The chapter-wise schematics of the book are as follows: • Learning Outcomes • Case Study • Concepts • Keywords • Summary • Miscellaneous Illustrations • Review Questions o True or False o Choose the Correct Word o Choose the Correct Answer o Discussion Questions • Practical Exercises • Case Study The detailed contents of the book are as follows: • Essentials of Financial Management o Financial Management – An Overview o Basic Valuation Concepts – Time Value of Money, Interest Rates, Valuation of Bonds and Risk-Return Analysis o Strategic Financial Planning • Analysis of Financial Position o Analysis of Financial Statements o State of Changes in Financial Position – Fund Flow Analysis o Financial Statement Analysis using Cash Flow Analysis o Financial Statement Analysis using Ratio Analysis o Financial Statement Analysis using Economic Value Added o Financial Statement Analysis using Financial and Operating Ratios • Investment Decision o Capital Budgeting o Risk Evaluation in Capital Budgeting • Financing Decisions o Cost of Capital and Impact on Firm's Earnings Per Share (EPS) o Capital Structure Theories and Value of Firm • Dividend Decisions o Dividend Theories and Value of Firm • Working Capital Management o Basics of Working Capital o Estimating Working Capital o Inventory Management o Receivables Management o Cash Management

Taxmann’s Working Capital Management – Comprehensive & Authentic book along-with Points to Remember, Graded Illustrations, Objective & Multiple Choice Questions, Assignments, Problems & Case Studies

Author : Dr. R.P. Rustagi
Publisher : Taxmann Publications Private Limited
Page : 37 pages
File Size : 46,8 Mb
Release : 2021-04-26
Category : Law
ISBN : 9789390831241

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Taxmann’s Working Capital Management – Comprehensive & Authentic book along-with Points to Remember, Graded Illustrations, Objective & Multiple Choice Questions, Assignments, Problems & Case Studies by Dr. R.P. Rustagi Pdf

This book is a comprehensive & authentic book on ‘Working Capital Management’. This book aims to fulfill the requirement of students of MBA/M.Com./PGDM/CFA & other Postgraduate Courses in Commerce and Management. This book aims to fill the gap between theory and practice of working capital management. The finance managers will find the text worthwhile in their pursuit of updating the knowledge about current thinking & developments taking place in the area of working capital management. The Present Publication is the Reprint 2021 Edition, authored by Dr. R.P. Rustagi, with the following noteworthy features: • The subject-matter is presented in a simple, systematic method along with comprehensive explanation of the concept and theories underlying working capital management. The book tries to present the subject-matter in a non-mathematical and non-technical way • [Student-Oriented Book] This book has been developed, keeping in mind the following factors: 𝚘 Interaction of the author/teacher with his/her students in the class-room 𝚘 Shaped by the author/teachers experience of teaching the subject-matter at different levels 𝚘 Reaction and responses of students have also been incorporated at different places in the book • [Illustrations & Diagrams] are used to explain the concepts for a clear understanding of the subject-matter • [Practices Prevailing in India] have been referenced throughout the text • [300+ Objective Type & Multiple Choice Questions] are given at the end of different Chapters • [200+ Examples & Graded Illustrations] have been incorporated throughout the book • Question appeared in Latest Question Papers have been incorporated at appropriate places • [Real Life Case Studies] have been incorporated on various aspects of Working Capital Management • Incorporates separate chapters on Funds Flow Statement, Cash Flow Statement and Bank Finance for Working Capital Requirement The detailed contents of the book are as follows: • Working Capital | Planning and Estimation 𝚘 Working Capital | Introduction 𝚘 Working Capital | Operating Cycle 𝚘 Working Capital | Estimation and Calculation • Measurement and Analysis of Liquidity 𝚘 Measuring Liquidity | Ratio Analysis 𝚘 Working Capital Flow | Funds Flow Statement 𝚘 Analysing Liquidity Flow | Cash Flow Statement • Current Assets Management 𝚘 Management of Cash and Marketable Securities 𝚘 Receivables Management 𝚘 Inventory Management • Working Capital Financing 𝚘 Financing of Working Capital and the Banking Policy • Case Studies in Working Capital Management 𝚘 Okara Foods & Beverages Ltd. 𝚘 Indo-Swiss Watches Ltd. 𝚘 Aeron Adventures Ltd. 𝚘 Price Waterhouse Consultancy and Allied Services 𝚘 Dataware Computer Ltd. 𝚘 Kamat Engineering Works Ltd. 𝚘 Viptanu Housing Infrastructure Ltd. 𝚘 Good Apparels Ltd.

Taxmann's Financial Management

Author : Kishore Ravi M
Publisher : Unknown
Page : 588 pages
File Size : 47,6 Mb
Release : 1999
Category : Electronic
ISBN : 8174961682

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Taxmann's Financial Management by Kishore Ravi M Pdf

Taxmann's Corporate Finance with Financial Modelling – Covering the Spectrum from – Financial Analysis to Strategic Financial Planning with Real-World Examples | Case Studies | Practical Exercises

Author : Prof. Rishi Mehra,Dr. Ruchi Arora
Publisher : Taxmann Publications Private Limited
Page : 31 pages
File Size : 50,5 Mb
Release : 2024-04-15
Category : Education
ISBN : 9789357785495

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Taxmann's Corporate Finance with Financial Modelling – Covering the Spectrum from – Financial Analysis to Strategic Financial Planning with Real-World Examples | Case Studies | Practical Exercises by Prof. Rishi Mehra,Dr. Ruchi Arora Pdf

This comprehensive guide dives into the fundamentals of corporate finance and the critical role of financial modelling. It introduces corporate finance as the new paradigm shift in financial management. It covers the spectrum from financial analysis to strategic financial planning, offering a mix of real-world examples, case studies, and practical exercises. With an emphasis on practical application, this book equips readers with the knowledge to make informed financial decisions, thereby contributing to businesses' long-term sustainability and success. It's designed for a broad audience, including students, finance professionals, and anyone interested in enhancing their understanding of corporate financial decision-making processes. This book is structured around five core principles, which are as follows: • Long-term Investment Financing – Emphasizes the necessity of funding long-term investments with long-term sources of capital • Matching Costs with Incomes – Advocates for aligning 'Fixed Costs or Regular Outflows' with 'Fixed Incomes or Regular Inflows' • Wealth Over Appearances – Highlights that while money may project wealth, wise financial decisions ensure lasting prosperity • Decision-Making – Suggests that the best financial decisions are made with a focus on facts ('Eyes Open') rather than opinions ('Ears Closed'). • Short-term Financing – Stresses the importance of meeting short-term needs with short-term financial sources The Present Publication is the Latest Edition, authored by Prof. Rishi Mehra and Dr Ruchi Arora, with the following noteworthy features: • [Comprehensive Coverage] This book covers a broad ranking of topics ranging from: o Financial Statement Analysis o Cash Flow Forecasting o Capital Budgeting o Risk Management o Advanced Subjects, such as: § Valuation Techniques § Mergers & Acquisitions § Strategic Financial Planning • [Practical Approach] Beyond theoretical concepts, the book emphasizes hands-on implementation, offering: o Step-By-Step Guidance o Illustrations o Global Case Studies o Exercises in Both Manual & Excel Formats • [Learning Strategies] This book uses the following to maximize learning outcomes: o Sequential Reading o Active Participation o Use of Supplementary Resources o Application of Concepts to Real-World Scenarios • [Blend of Theory with Practice] This book uniquely blends practical insights with comprehensive theoretical underpinnings, making it useful for anyone looking to enhance their understanding and application of corporate finance and financial modelling in real-world scenarios The detailed contents of the book are as follows: • Foundations for Corporate Finance o Basics of Corporate Finance and Financial Modelling § Chapter 1 provides an overview of corporate finance, including a glance at the financial system, institutions, instruments, and markets. § Chapter 2 discusses the time value of money, its relevance, inflation, interest rates, discounting, and annuities, along with a financial model on loan amortization § Chapter 3 covers financial statement analysis, its purpose, tools, techniques, and types of ratios, and includes a financial model for financial analysis § Chapter 4 discusses risk and return analysis with an associated financial model for evaluating risk and return • Long-Term Decisions in Financial Management o Financing Decision – Capital Structure Analysis § Chapters 5 and 6 make the reader understand the sources of long-term capital, the cost of capital, capital structure theories, and factors affecting costs, and include a WACC model § Chapter 7 discusses operating and financial leverage with a related financial model on leverage o Investment Decision – Capital Budgeting Techniques § Chapters 8 and 9 focus on cash flow estimation, risk evaluation, capital budgeting tools and techniques, including a financial model on capital budgeting • Short-Term Decisions in Financial Management o Working Capital Management § Chapter 10 examines the fundamentals of working capital management, covering current assets, liabilities, the purpose and dimensions of working capital, factors affecting its composition, and includes a working capital model § Chapter 11 is about receivable management, including credit policy, appraisal, and management § Chapter 12 discusses inventory management, its advantages, costs, techniques, valuation techniques and includes an inventory management model § Chapter 13 covers cash management tools, Baumol and Miller & ORR models, and includes a cash management model • Strategic Decisions in Corporate Finance o Strategic Corporate Decisions § Chapters 14 to 16 cover fundamentals of dividend decisions, mergers & acquisitions, and valuation of securities with associated financial models for corporate actions • New Developments o New Developments in Financial Management § Chapter 17 discusses new developments in corporate finance and includes mathematical tables for reference

Understanding Financial Management

Author : H. Kent Baker,Gary Powell
Publisher : John Wiley & Sons
Page : 504 pages
File Size : 49,9 Mb
Release : 2009-02-09
Category : Business & Economics
ISBN : 9781405151917

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Understanding Financial Management by H. Kent Baker,Gary Powell Pdf

Designed for those who want to gain an understanding of the fundamental concepts and techniques used in financial management. An underlying premise of the book is that the objective of the firm is to maximize value or wealth. Drawing on a wealth of experience in the academic and professional worlds, the authors discuss how firms can accomplish this objective by making appropriate investment and financing decisions. Bridging the gap between financial theory and practice, the authors present fundamental concepts in an intuitive and nontechnical way, and provide numerous practical financial tips to readers. The focus is on current practice, using results from recent surveys to show the most popular techniques and approaches used by financial managers today. A range of instructor’s resources are available at the accompanying website. Visit www.blackwellpublishing.com/baker for full details.

Financial Management and Analysis Workbook

Author : Pamela P. Peterson,Frank J. Fabozzi,Wendy D. Habegger
Publisher : John Wiley & Sons
Page : 448 pages
File Size : 46,8 Mb
Release : 2004-02-19
Category : Business & Economics
ISBN : 9780471655114

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Financial Management and Analysis Workbook by Pamela P. Peterson,Frank J. Fabozzi,Wendy D. Habegger Pdf

A comprehensive guide to understanding the world of financial management and analysis This complement to the bestselling Financial Management and Analysis allows readers to self-test their understanding before applying the concepts to real-world situations. Pamela P. Peterson, PhD, CPA (Tallahassee, FL), is Professor of Finance at Florida State University. Wendy D. Habegger (Tallahassee, FL) is a PhD student in Finance at Florida State University.

Foundations of Finance

Author : Anonim
Publisher : 清华大学出版社有限公司
Page : 802 pages
File Size : 40,5 Mb
Release : 2004
Category : Corporations
ISBN : 7810822853

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Foundations of Finance by Anonim Pdf

EBOOK: Analysis for Financial Management

Author : HIGGINS
Publisher : McGraw Hill
Page : 464 pages
File Size : 52,7 Mb
Release : 2015-01-15
Category : Business & Economics
ISBN : 9781526864956

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EBOOK: Analysis for Financial Management by HIGGINS Pdf

EBOOK: Analysis for Financial Management

Financial Management and Analysis

Author : Frank J. Fabozzi,Pamela P. Peterson
Publisher : John Wiley & Sons
Page : 1023 pages
File Size : 51,6 Mb
Release : 2003-07-25
Category : Business & Economics
ISBN : 9780471488934

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Financial Management and Analysis by Frank J. Fabozzi,Pamela P. Peterson Pdf

Financial Management and Analysis, Second Edition covers many important financial topics that are neglected elsewhere--from raising funds via securitization to managing a financial institution. This book provides valuable insights into many major aspects of financial management and analysis, and includes expert advice, real-world examples, useful charts and graphs, and incisive end-of-chapter questions that help develop the skill set necessary to deal with the important financial problems encountered in today's business world.

Effective Financial Management

Author : Geoff Turner
Publisher : Business Expert Press
Page : 166 pages
File Size : 44,5 Mb
Release : 2011-06-15
Category : Business & Economics
ISBN : 9781606492345

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Effective Financial Management by Geoff Turner Pdf

In a fast changing world, brimming with social and economic uncertainty, financial information plays a vital role in the life of an organization and does so with two sets of eyes. One set looks back to see what has happened. This is the accounting function, which is simply about the recording of events and the production of the financial reports that satisfy the stewardship responsibility of management. The other set looks forward to determine the most appropriate strategic direction for an organization, guiding managerial actions, motivating behaviors, and creating and supporting the cultural values necessary to achieve an organizations strategic objectives. This book is all about the second set of eyes, which are the lenses of STRATEGIC FINANCIAL MANAGEMENT, that help organizations plot their way through an environment filled with opportunities and dangers. For students, aspiring managers as well as those who already have management responsibilities this book provides an insight, through the eyes of the characters of a start-up company, of some of the ideas and models that help to identify the possible strategies capable of maximizing an organization's value, which is the same as making the owners as wealthy as possible, to determine how to finance the organization in the most proper way, to allocate the collected capital in the most effective way, to monitor the implementation of the chosen strategy to see whether it is meeting the planned objectives, and to reasonably decide on the reinvestment and distribution of profits.

Financial Management

Author : Anthony G. Puxty,J. Colin Dodds
Publisher : Unknown
Page : 638 pages
File Size : 52,9 Mb
Release : 1991-01-01
Category : Corporations
ISBN : 0412409704

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Financial Management by Anthony G. Puxty,J. Colin Dodds Pdf

This book is part of an established series of cross-referenced texts offering a detailed and integrated coverage of the key areas of accounting and financial management. This integrated approach encourages students to develop: an understanding of the organizational and societal roles of accounting and financial management; technical skills relating to procedural and computational aspects of accounting and financial management; analytical skills relating to the problem-structuring and systems design aspects of accounting and financial management; and evaluative skills in relation to both the theory and practice of accounting and financial management.