Description
TABLE OF CONTENTS
PART 1: THE FINANCIAL ENVIRONMENT
Chapter 1: An Introduction to Finance
Chapter 2: Business (Corporate) Finance
PART 2: FINANCIAL ANALYSIS TOOLS
Chapter 3: Financial Statements
Chapter 4: Financial Statement Analysis and Forecasting
PART 3: VALUATION BASICS
Chapter 5: Time Value of Money
Chapter 6: Bond Valuation and Interest Rates
Chapter 7: Equity Valuation
PART 4: PORTFOLIO AND CAPITAL MARKET THEORY
Chapter 8: Risk, Return, and Portfolio Theory
Chapter 9: The Capital Asset Pricing Model (CAPM)
Chapter 10: Market Efficiency
PART 5: DERIVATIVE SECURITIES
Chapter 11: Forwards, Futures, and Swaps
Chapter 12: Options
PART 6: LONG-TERM INVESTMENT DECISIONS
Chapter 13: Capital Budgeting, Risk Considerations, and Other Special Issues
Chapter 14: Cash Flow Estimation and Capital Budgeting Decisions
Chapter 15: Mergers and Acquisitions
Chapter 16: Leasing
PART 7: LONG-TERM FINANCING
Chapter 17: Investment Banking and Securities Law
Chapter 18: Debt Instruments
Chapter 19: Equity and Hybrid Instruments
Chapter 20: Cost of Capital
PART 8: FINANCIAL POLICIES
Chapter 21: Capital Structure Decisions
Chapter 22: Dividend Policy
PART 9: WORKING CAPITAL MANAGEMENT
Chapter 23: Working Capital Management: General Issues
Chapter 24: Working Capital Management: Current Assets and Current Liabilities
Appendix 1
Index