Corporate finance and investment : decisions and strategies / Richard Pike and Bill Neale.
Material type: TextPublication details: Harlow : Financial Times Prentice Hall, 2005.Edition: 5th edDescription: 792 p. : ill. ; 27 cmISBN:- 9780273695615 (pbk.) :
- 9780273695615
- 658.150941 PIK
- HG4135 .P35 2005
Item type | Current library | Call number | Copy number | Status | Date due | Barcode | |
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Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 209692 | ||
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 207281 | ||
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 207287 | ||
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 207285 | ||
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 207283 | ||
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.150941 PIK (Browse shelf(Opens below)) | 1 | Available | 201354 |
Previous ed.: 2003.
Includes bibliographical references and index.
Part 1.A framework for financial decisions -- Chapter 1.An overview of financial management -- Chapter 2.The financial environment -- Chapter 3.Present values and financial arithmetic -- Chapter 4.Valuation of assets, shares and companies -- Part II: Investment decisions and strategies -- Chapter 5.Investment appraisal methods -- Chapter 6.Project appraisal methods -- Chapter 7.Investment strategy and process -- Part III: Investment risk and return -- Chapter 8.Analysing investment risk -- Chapter 9.Relationships between investments: portfolio theory -- Chapter 10.Setting the risk premium: the capital asset pricing model -- Chapter 11.The required rate of return on investment and shareholder value analysis -- Chapter 12.Identifying and valuing options -- Part IV: Short-term financing and policies -- Chapter 13.Treasury management and working capital policy -- Chapter 14.Short-term asset management -- Chapter 15.Short- and medium-term finance -- Part V: Strategic financial decisions -- Chapter 16.Long-term finance -- Chapter 17.Returning value to shareholders: the dividend decision -- Chapter 18.Capital strucutre and the required return -- Chapter 19.Does capital structure really matter? -- Chapter 20.Acquisitions and restructuring -- Part VI: International finance -- Chapter 21.Managing currency risk -- Chapter 22.Foreign investment decisions -- Chapter 23.Review and behavioural finance.
This text has a practical orientation with a wealth of examples and case studies. Recommended by the CIMA and ACCA, it includes new material on derivatives, treasury management and restructuring.