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Corporate finance and investment : decisions and strategies / Richard Pike and Bill Neale.

By: Contributor(s): Material type: TextTextPublication details: Harlow : Financial Times Prentice Hall, 2005.Edition: 5th edDescription: 792 p. : ill. ; 27 cmISBN:
  • 9780273695615 (pbk.) :
  • 9780273695615
Subject(s): DDC classification:
  • 658.150941 PIK
LOC classification:
  • HG4135 .P35 2005
Incomplete contents:
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.
Summary: 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.
Holdings
Item type Current library Call number Copy number Status Date due Barcode
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.

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