000 01574nam a2200193 a 4500
020 _a 9780070590458
020 _a0070590451
082 _a658.15
_bBRE
100 _aBrealey, Richard A.
245 _aFinancing and Risk Management
260 _aNew Delhi:
_bTata McGraw-Hill,
_c2004.
300 _aix, 477 pages :
_billustrations ;
500 _aIncludes index
505 _ainancing 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.
520 _a "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.
650 _aCorporations -- Finance.
700 _aMyers, Stewart C.
942 _cBK
999 _c40137
_d40137