Textbook
Financial Management and Real OptionsISBN: 978-0-471-89934-1
Paperback
456 pages
January 2003, ©2002
This is a Print-on-Demand title. It will be printed specifically to fill your order. Please allow an additional 10-15 days delivery time. The book is not returnable.
|
Preface.
Part 1 Financial Management and Corporate Governance.
Financial Management and Corporate Governance.
Fundamental Methods of Financial Analysis.
An Introduction to Corporate Debt and Equity.
Shareholder Value in Efficient Markets.
Part 2 Valuation of Investment and Real Options.
An Introduction to the Appraisal of Capital Projects.
Pitfalls in Project Appraisal.
Further Project Appraisal Methods.
Appraising Projects with Real Options.
Valuing Interrelated Real Options.
Valuation of Companies with Real Options.
Mergers and Acquisitions.
Part 3 Financial Structure.
Portfolio Theory and Asset Pricing.
Calculating the Cost of Capital.
Long-term Financing.
Dividend Policy.
Divident Policy.
Part 4 Solvency Management.
Lease Finance.
Financial Planning and Solvency.
Managing Debtor Risk.
Managing Inventory Risk.
Managing Interest and Exchange Rate Risks.
Part 5 International Investment.
Appraising International Capital Projects.
Present Value Tables.
Probability Table.
INdex.
Part 1 Financial Management and Corporate Governance.
Financial Management and Corporate Governance.
Fundamental Methods of Financial Analysis.
An Introduction to Corporate Debt and Equity.
Shareholder Value in Efficient Markets.
Part 2 Valuation of Investment and Real Options.
An Introduction to the Appraisal of Capital Projects.
Pitfalls in Project Appraisal.
Further Project Appraisal Methods.
Appraising Projects with Real Options.
Valuing Interrelated Real Options.
Valuation of Companies with Real Options.
Mergers and Acquisitions.
Part 3 Financial Structure.
Portfolio Theory and Asset Pricing.
Calculating the Cost of Capital.
Long-term Financing.
Dividend Policy.
Divident Policy.
Part 4 Solvency Management.
Lease Finance.
Financial Planning and Solvency.
Managing Debtor Risk.
Managing Inventory Risk.
Managing Interest and Exchange Rate Risks.
Part 5 International Investment.
Appraising International Capital Projects.
Present Value Tables.
Probability Table.
INdex.