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Gitman's proven learning goal system ;a hallmark feature of Principles of Managerial Finance ;weaves pedagogy into concepts and practice, providing readers with a roadmap to guide them through the text and supplementary tools. The Role of Managerial Finance; The Financial Market Environment; Financial Statements and Ratio Analysis; Cash Flow and Financial Planning; Time Value of Money; Interest Rates and Bond Valuation; Stock Valuation; Risk and Return; The Cost of Capital; Capital Budgeting Techniques; Capital Budgeting Cash Flows; Risk and Refinements in Capital Budgeting; Leverage and Capital Structure; Payout Policy; Working Capital and Current Assets Management; Current Liabilities Management; Hybrid and Derivative Securities; Mergers, LBOs, Divestitures, and Business Failure; International Managerial Finance For those interested in enhancing their understanding of managerial finance. MyFinanceLab Student Survey Results Did the Learning Aids or Hints (Help Me Solve This, View an Example, ebook links) in MyFinanceLab help you? 88.4% said YES! Please check all of the Learning Aids that helped you while working on homework. 72.1% listed Help Me Solve This 79.3% listed View An Example Did MyFinanceLab help you earn a higher grade on your homework, exams and/or the course? 94.3% said YES! Would you recommend your instructor to use MyFinanceLab for future courses? 90.1% said YES! Did you do any additional work in MyFinanceLab that was not required by your instructor? 58.3% said YES! Of the total amount of time you spent studying for this course, what percentage of the time was in MyFinanceLab and what percentage of the time was spent using other learning resources? 63.25% of time in MFL 34.24% of time in other learning resources
Table of Contents
Part 1: Introduction to Managerial Finance Chapter 1: The Role of Managerial Finance Chapter 2: The Financial Market Environment Part 2: Financial Tools Chapter 3: Financial Statements and Ratio Analysis Chapter 4: Cash Flow and Financial Planning Chapter 5: Time Value of Money Part 3: Valuation of Securities Chapter 6: Interest Rates and Bond Valuation Chapter 7: Stock Valuation Part 4: Risk and the Required Rate of Return Chapter 8: Risk and Return Chapter 9: The Cost of Capital Part 5: Long-Term Investment Decisions Chapter 10: Capital Budgeting Techniques Chapter 11: Capital Budgeting Cash Flows and Risk Refinements Part 6: Long-Term Financial Decisions Chapter 12: Leverage and Capital Structure Chapter 13: Payout Policy Part 7: Short-Term Financial Decisions Chapter 14: Working Capital and Current Assets Management Chapter 15: Current Liabilities Management