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What version or edition is this?
This is the 12th edition with a publication date of 2/24/2005.
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Known for its time-honored, fully integrated learning system, the Eleventh Edition stays on the cutting edge with progressive new tools and fresh, thought-provoking content. Gitman's proven learning goal method provides students with a road map through the content. The overarching organization of the text is designed to conceptually link a firm's actions to its value as determined in the securities markets. Each major decision area is presented in terms of both risk and return factors and the potential impact on the owner's wealth.Every new textbook now comes with MyFinanceLab, Addison-Wesley's online homework, testing, and tutorial system. MyFinanceLab saves instructors time with automatically graded homework, and gives students the benefit of individualized study plans, unlimited practice, and immediate feedback.
Table of Contents
|The Role and Environment of Managerial Finance|
|Financial Statements and Analysis|
|Cash Flow and Financial Planning|
|Important Financial Concepts|
|Time Value of Money|
|Risk and Return|
|Interest Rates and Bond Valuation|
|Long-term Investment Decisions|
|Capital Budgeting Cash Flows|
|Capital Budgeting Techniques|
|Risk and Refinements in Capital Budgeting|
|Long-Term Financial Decisions|
|The Cost of Capital|
|Leverage and Capital Structure|
|Short-term Financial Decisions|
|Working Capital and Current Asset Management|
|Current Liabilities Management|
|Special Topics in Managerial Finance|
|Hybrid and Derivative Securities|
|Mergers, LBOs, Divestitures, and Business Failures?|
|International Financial Management|
|Web Chapter-Financial Institutions and Markets|
|Solutions to Self-Test Problems|
|Answers to Selected End-of-Chapter Problems|
|Table of Contents provided by Publisher. All Rights Reserved.|