Financing and Risk Management
Material type: TextPublication details: New Delhi: Tata McGraw-Hill, 2004.Description: ix, 477 pages : illustrationsISBN:- 9780070590458
- 0070590451
- 658.15 BRE
Item type | Current library | Collection | Call number | Status | Date due | Barcode | Item holds | |
---|---|---|---|---|---|---|---|---|
Lending Books | Main Library Stacks | Reference | 658.15 BRE (Browse shelf(Opens below)) | Available | 011743 |
Includes index
inancing decisions and market efficiency. Finance and the financial manager --
An overview of corporate financing --
How corporations issue securities --
Corporate financing and the six lessons of market efficiency. Dividend policy and capital structure. Does debt policy matter? --
How much should a firm borrow? --
The dividend controversy. Options. Spotting and valuing options --
Warrants and convertibles. Debt financing. Valuing debt --
The many different kinds of debt --
Leasing. Risk management. Managing risk --
Managing international risks. Financial planning. Financial analysis and planning --
Short-term financial planning. Short-term financial management. Credit management --
Cash management --
Short-term lending and borrowing.
"Financing and Risk Management belies the notion that corporate finance texts must be dull. This handbook for practicing professional combines in-depth finance information and methodology with dynamic and often humorous writing as it focuses on the many issues professionals face as they take on questions of financing."--Jacket.
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