9780077596125

Finance: Applications and Theory with Connect Plus

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  • ISBN13:

    9780077596125

  • ISBN10:

    0077596129

  • Edition: 2nd
  • Format: Package
  • Copyright: 10/13/2011
  • Publisher: McGraw-Hill/Irwin
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Supplemental Materials

What is included with this book?

  • The New copy of this book will include any supplemental materials advertised. Please check the title of the book to determine if it should include any access cards, study guides, lab manuals, CDs, etc.
  • The Used, Rental and eBook copies of this book are not guaranteed to include any supplemental materials. Typically, only the book itself is included. This is true even if the title states it includes any access cards, study guides, lab manuals, CDs, etc.

Summary

It’s About Time! Finally, there’s a corporate finance book that incorporates the newest technology to facilitate the learning process, saving time for instructors and students. The Second Edition continues to provide the core topics for the course, highlighting personal examples just as instructors do during their class. New to this edition are unique Quick Response (QR) codes that enable students with smartphones to instantly access online help or explore topics further without ever leaving their page in the book. With Connect PlusTM Finance, students can take self-graded practice quizzes, homework assignments, or tests, making the learning process more accessible and efficient. An integrated, printable eBook is also included in the package, allowing for anytime, anywhere access to the textbook. Isn’t it time to get the most out of a corporate finance text?

Table of Contents

Part I: Introduction

Chapter 1: Introduction to Financial Management

Part II: Financial Statements

Chapter 2: Reviewing Financial Statements

Chapter 3: Analyzing Financial Statements

Part III: Valuing of Future Cash Flows

Chapter 4: Time Value of Money 1: Analyzing Single Cash Flows

Chapter 5: Time Value of Money 2: Analyzing Annuity Cash Flows

Part IV: Valuing of Bonds and Stocks

Chapter 6 Understanding Financial Markets and Institutions

Chapter 7 Valuing Bonds

Chapter 8 Valuing Stocks

Part V: Risk and Return

Chapter 9: Characterizing Risk and Return

Chapter 10: Estimating Risk and Return

Part VI: Capital Budgeting

Chapter 11: Calculating the Cost of Capital

Chapter 12: Estimating Cash Flows on Capital Budgeting Projects

Chapter 13: Weighing Net Present Value and Other Capital Budgeting Criteria

Part VII: Capital Structure Issues

Chapter 14: Addressing Working Capital and Managing Short-Term Assets and Liabilities

Chapter 15: Financial Planning and Forecasting

Chapter 16: Assessing Long-term Debt, Equity, and Capital Structure

Chapter 17: Sharing Firm Wealth: Dividends, Share Repurchases and Other Payouts

Chapter 18: Issuing Capital and the Investment Banking Process

Part VIII: Other Topics in Finance

Chapter 19: Considering International Aspects of Corporate Finance

Chapter 20: Managing Mergers and Acquisitions and Financial Distress

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