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Beschreibung
For undergraduate corporate finance courses. The five key principles for the foundations of finance Foundations of Finance retains its foundational approach to the key concepts of finance, bolstered by real-world vignettes, cases, and problem exercises. Utilising five principles, which are presented at the beginning of the book and applied throughout, the authors introduce a multi-step approach to financial problem solving that appeals to students’ (at all levels) math and numerical skills. As with previous editions, the 10th Edition, Global Edition focuses on valuation and opens every chapter with a vignette based on financial decisions faced by contemporary, real-world companies and firms. Revised and updated, the text features new lecture videos, financial thinking, user feedback, and changes inspired by the passage of the Tax Cuts and Jobs Act of 2017 in the United States of America, so students are well equipped to effectively deal with financial problems in an ever-changing financial environment.
For undergraduate corporate finance courses. The five key principles for the foundations of finance Foundations of Finance retains its foundational approach to the key concepts of finance, bolstered by real-world vignettes, cases, and problem exercises. Utilising five principles, which are presented at the beginning of the book and applied throughout, the authors introduce a multi-step approach to financial problem solving that appeals to students’ (at all levels) math and numerical skills. As with previous editions, the 10th Edition, Global Edition focuses on valuation and opens every chapter with a vignette based on financial decisions faced by contemporary, real-world companies and firms. Revised and updated, the text features new lecture videos, financial thinking, user feedback, and changes inspired by the passage of the Tax Cuts and Jobs Act of 2017 in the United States of America, so students are well equipped to effectively deal with financial problems in an ever-changing financial environment.
Über den Autor
About our authorsArthur J. Keown is the Department Head and R. B. Pamplin Professor of Finance at Virginia Polytechnic Institute and State University. He received his bachelor's degree from Ohio Wesleyan University, his MBA from the University of Michigan, and his doctorate from Indiana University. An award-winning teacher, he is a member of the Academy of Teaching Excellence; has received 5 Certificates of Teaching Excellence at Virginia Tech, the W. E. Wine Award for Teaching Excellence, and the Alumni Teaching Excellence Award; and in 1999 received the Outstanding Faculty Award from the State of Virginia. Professor Keown is widely published in academic journals. His work has appeared in the Journal of Finance, the Journal of Financial Economics, the Journal of Financial and Quantitative Analysis, the Journal of Financial Research, the Journal of Banking and Finance, Financial Management, the Journal of Portfolio Management, and many others. In addition to Foundations of Finance, 2 other of his books are widely used in college finance classes all over the country: Basic Financial Management and Personal Finance: Turning Money into Wealth. Professor Keown is a Fellow of the Decision Sciences Institute, was a member of the Board of Directors of the Financial Management Association, and is the head of the finance department at Virginia Tech. In addition, he served as the co-editor of the Journal of Financial Research for 6½ years and as the co-editor of the Financial Management Association's Survey and Synthesis series for 6 years. He lives with his wife in Blacksburg, Virginia, where he collects original art from Mad [...] D. Martin holds the Carr P. Collins Chair in Finance in the Hankamer School of Business at Baylor University, where he teaches in the Baylor EMBA programs and has 3 times been selected as the outstanding teacher. John joined the Baylor faculty in 1998 after spending 17 years on the faculty of the University of Texas at Austin. Over his career he has published over 50 articles in the leading finance journals, including papers in the Journal of Finance, Journal of Financial Economics, Journal of Financial and Quantitative Analysis, Journal of Monetary Economics, and Management Science. His recent research has spanned issues related to the economics of unconventional energy sources, the hidden cost of venture capital, and the valuation of firms filing Chapter 11. He is also co-author of several books, including Financial Management: Principles and Practice (13th Edition, Prentice Hall), Foundations of Finance (9th Edition, Prentice Hall), Theory of Finance (Dryden Press), Financial Analysis (3rd Edition, McGraw Hill), Valuation: The Art & Science of Corporate Investment Decisions (2nd Edition, Prentice Hall), and Value Based Management with Social Responsibility (2nd Edition, Oxford University Press). William Petty, PhD, Baylor University, is Professor of Finance and W. W. Caruth Chair of Entrepreneurship. Dr. Petty teaches entrepreneurial finance, both at the undergraduate and graduate levels. He is a University Master Teacher. In 2008, the Acton Foundation for Entrepreneurship Excellence selected him as the National Entrepreneurship Teacher of the Year. His research interests include the financing of entrepreneurial firms and shareholder value-based management. He has served as the co-editor for the Journal of Financial Research and the editor of the Journal of Entrepreneurial Finance. He has published articles in various academic and professional journals including the Journal of Financial and Quantitative Analysis, Financial Management, Journal of Portfolio Management, Journal of Applied Corporate Finance, and Accounting Review. Dr. Petty is co-author of a leading textbook in small business and entrepreneurship, Small Business Management: Launching and Growing Entrepreneurial Ventures. He also co-authored Value-Based Management: Corporate America's Response to the Shareholder Revolution (20
Inhaltsverzeichnis

PART I: THE SCOPE AND ENVIRONMENT OF FINANCIAL MANAGEMENT

  1. An Introduction to the Foundations of Financial Management
  2. The Financial Markets and Interest Rates
  3. Understanding Financial Statements and Cash Flows
  4. Evaluating a Firm's Financial Performance

PART II: THE VALUATION OF FINANCIAL ASSETS

  • The Time Value of Money
  • The Meaning and Measurement of Risk and Return
  • The Valuation and Characteristics of Bonds
  • The Valuation and Characteristics of Stock
  • The Cost of Capital
  • PART III: INVESTMENT IN LONG-TERM ASSETS

  • Capital-Budgeting Techniques and Practice
  • Cash Flows and Other Topics in Capital Budgeting
  • PART IV: CAPITAL STRUCTURE AND DIVIDEND POLICY

  • Determining the Financing Mix
  • Dividend Policy and Internal Financing
  • PART V: WORKING-CAPITAL MANAGEMENT AND INTERNATIONAL BUSINESS FINANCE

  • Short-Term Financial Planning
  • Working-Capital Management
  • International Business Finance
  • Cash, Receivables, and Inventory Management
  • Details
    Erscheinungsjahr: 2019
    Fachbereich: Betriebswirtschaft
    Genre: Importe, Wirtschaft
    Rubrik: Recht & Wirtschaft
    Medium: Taschenbuch
    Inhalt: 608 S.
    ISBN-13: 9781292318738
    ISBN-10: 1292318732
    Sprache: Englisch
    Einband: Kartoniert / Broschiert
    Autor: Keown, Arthur
    Keown, Arthur J.
    Martin, John D.
    Petty, J. William
    Auflage: 10. Auflage
    Hersteller: Pearson
    Pearson Education Limited
    FT Publishing International
    Verantwortliche Person für die EU: Pearson Studium im Verlag Pearson Benelux B.V. Zweigniederla, Sankt-Martin-Str. 82, D-81541 München, buchhandel@pearson.com
    Maße: 276 x 216 x 33 mm
    Von/Mit: Arthur Keown (u. a.)
    Erscheinungsdatum: 08.11.2019
    Gewicht: 1,485 kg
    Artikel-ID: 117636169

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