The Theory of Financial Management
Author: Ezra Solomon
Publisher:
Published: 1969
Total Pages: 170
ISBN-13: 9782310260480
DOWNLOAD EBOOKRead and Download eBook Full
Author: Ezra Solomon
Publisher:
Published: 1969
Total Pages: 170
ISBN-13: 9782310260480
DOWNLOAD EBOOKAuthor: Reid W. Click
Publisher:
Published: 2002
Total Pages: 472
ISBN-13:
DOWNLOAD EBOOKFor MBA courses in International Corporate Finance, International Business Finance, and Multinational Financial Management. This book focuses upon the basic principles which together make a "toolkit" for analysis of issues in international finance. It also captures the importance and excitement of international financial management and highlights the new approaches in the field. It covers the theoretical foundations of international financial decisions and contains extensive applications of the theory to financial practice with a main objective of developing critical thinking skills regarding the theory and practice of international financial management.
Author:
Publisher:
Published: 2009
Total Pages: 0
ISBN-13: 9780751763973
DOWNLOAD EBOOKAuthor: H. Kent Baker
Publisher: John Wiley & Sons
Published: 2009-02-09
Total Pages: 504
ISBN-13: 1405151919
DOWNLOAD EBOOKDesigned for those who want to gain an understanding of the fundamental concepts and techniques used in financial management. An underlying premise of the book is that the objective of the firm is to maximize value or wealth. Drawing on a wealth of experience in the academic and professional worlds, the authors discuss how firms can accomplish this objective by making appropriate investment and financing decisions. Bridging the gap between financial theory and practice, the authors present fundamental concepts in an intuitive and nontechnical way, and provide numerous practical financial tips to readers. The focus is on current practice, using results from recent surveys to show the most popular techniques and approaches used by financial managers today. A range of instructor’s resources are available at the accompanying website. Visit www.blackwellpublishing.com/baker for full details.
Author: Palanivelu V.R.
Publisher: S. Chand Publishing
Published:
Total Pages: 455
ISBN-13: 9352833279
DOWNLOAD EBOOKThe coverage of this book is very comprehensive, and it will serve as concise guide to a wide range of areas that are relevant to the Finance field. The book contain 25 chapters and also number of real life financial problems in the Indian context in addition to the illustrative problems.
Author: Jean-Philippe Bouchaud
Publisher: Cambridge University Press
Published: 2003-12-11
Total Pages: 410
ISBN-13: 1139440276
DOWNLOAD EBOOKRisk control and derivative pricing have become of major concern to financial institutions, and there is a real need for adequate statistical tools to measure and anticipate the amplitude of the potential moves of the financial markets. Summarising theoretical developments in the field, this 2003 second edition has been substantially expanded. Additional chapters now cover stochastic processes, Monte-Carlo methods, Black-Scholes theory, the theory of the yield curve, and Minority Game. There are discussions on aspects of data analysis, financial products, non-linear correlations, and herding, feedback and agent based models. This book has become a classic reference for graduate students and researchers working in econophysics and mathematical finance, and for quantitative analysts working on risk management, derivative pricing and quantitative trading strategies.
Author: David Murphy
Publisher: CRC Press
Published: 2008-04-23
Total Pages: 472
ISBN-13: 1584888946
DOWNLOAD EBOOKSound risk management often involves a combination of both mathematical and practical aspects. Taking this into account, Understanding Risk: The Theory and Practice of Financial Risk Management explains how to understand financial risk and how the severity and frequency of losses can be controlled. It combines a quantitative approach with a
Author: Sudhindra Bhat
Publisher: Excel Books India
Published: 2008
Total Pages: 916
ISBN-13: 9788174465863
DOWNLOAD EBOOKFinancial Management Principles and Practice, second edition is fundamentally designed to serve as an introduction to the study of Financial Management for students, Financial professionals, teachers and managers. The developments in the capital market and the new avenues available to tackle the traditional financial constraints have placed the present day finance manager in a situation to learn new skills and constantly update knowledge to take financial decision in a competitive environment, develop a familiarity with the analytical techniques and understand the theories of modern finance. Financial Management Principles and Practice is designed as a comprehensive and analytical treatise to fill the gaps. l The book seeks to build and develop familiarity with the analytical techniques in financial decision making in the competitive world. l This book covers the requirement for discussion to help Practitioners, managers, Financial professionals, academicians and students reason out Financial Management issues for themselves and thus be better prepared when making real-world investment decisions.l The book is structured in such a way that it can be used in both semester as well as trimester patterns of various MBA, M.Com, PGDM, PGP, PG Courses of all major universities, CA, CS, CFA, CWA, CPA of Professional and autonomous institutions.l It provides complete clarity in a simple style, which will help the students in easy understanding.l Discussion as well as mind stretching questions at the end of each chapter to stimulate financial decision making.l Concepts are explained with a number of illustrations and diagrams for clear understanding of subject matter. l The strong point of the book is its easy readability and clear explanation as well as extensive use of Case Study's and Project Works (more then 27 cases) which have been included in many chapters for Class discussion, EDP and FDP.DISTINCTIVE FEATURES OF THIS EDITION:v Provides complete clarity in a simple style v 628 Solved Problemsv 259 Unsolved Problemsv Seven new chapters included v 399 Review questions (theoretical questions)v 212 Fill in the blanks with answersv 101 True or false questions with answers v 26 case study's for class discussion v Discussion as well as mind stretching questions at the end of each chapter to stimulate financial decision making
Author: D. Chandra Bose
Publisher: PHI Learning Pvt. Ltd.
Published: 2011-04-30
Total Pages: 725
ISBN-13: 8120340744
DOWNLOAD EBOOKThis new edition, expanded with the addition of four new chapters, continues to help students develop an essential understanding of how financial management plays a positive role in strategic management of organisations. The book is designed for a foundation course in financial management for postgraduate students of business management (MBA), commerce, engineering and technology. It focuses on the basic concepts underlying the theory of financial management and also real-world practice in areas of investment, financing and asset management. Each financial function is discussed in a lucid and concise manner to help students improve their basic skills in financial management. The aim of the book is to enable the readers to gain insight into the financial decision-making processes. The book introduces the readers to the three major decision-making areas in financial management: break-even analysis, decisions involving alternative choices, and variance analysis. Key Features: A systematic presentation of the subject matter, supported with a number of illustrations and diagrams The topics of ratio analysis and cash flow analysis have been thoroughly revised and enlarged in accordance with the Accounting Standards (AS) issued by the ICAI Theoretical discussions are supplemented with suitable case studies Examination problems are given at the end of each chapter The chapter New Horizons in Budgeting explains the latest trends in budgeting.
Author: Basil J. Moore
Publisher: New York : Free Press
Published: 1968
Total Pages: 334
ISBN-13:
DOWNLOAD EBOOKIntroduction to financial analysis; Principles of financial behavior; Interrelation of financial & real economic behavior; Innovations in financial assets & financial markets; Determination of financial assets prices & yields; Money & banking; Monetary & nonmonetary financial intermediation; Dynamics of monetary disturbance.