The Human Pedigree (McGraw-Hill paperbacks)

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9780070590458: The Human Pedigree (McGraw-Hill paperbacks)
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1.

Smith, Anthony
Published by Tata McGraw-Hill Education Pvt. Ltd. (2004)
ISBN 10: 0070590451 ISBN 13: 9780070590458
New Softcover First Edition Quantity Available: > 20
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BookVistas
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Book Description Tata McGraw-Hill Education Pvt. Ltd., 2004. Softcover. Book Condition: New. First edition. A Comprehensive Look at How Corporations Balance Financing and Risk from Two of Today`s Most Popular and Influential Finance Writers Today`s corporation has an unprecedented number of avenues for financing its operations. At the same time, the specter of risk is always in the background, ready to extract a heavy toll from any executive who overlooks or disregards its long shadow. Financing and Risk Management addresses the many ways in which corporations raise capital as they manage the concurrent risk. Filled with information and ideas that are both thought provoking and functional, it provides an indispensable look into the theory and mechanics of financing and risk, including: * How, why, and when a firm should assume debt, while keeping that debt from working against it * Financial techniques for hedging against omnipresent domestic and international risks * Strategies for creating shareholder value through integrated investment and operating programs Through seven editions, Brealey and Myers` classic textbook Principles of Corporate Finance has become renowned for presenting in-depth discussions of financial theory and practice in an engaging and lively style. The Brealey & Myers on Corporate Finance series brings this classic text into the business environment, providing time-pressed professionals with a more focused format while retaining the timeless guidance and inherent readability of the original Corporate financial management is at its core a fluid and constantly challenging area. Financing and Risk Management takes you inside the fundamental question of how a corporation generates capital. It introduces you to the subject`s often-conflicting objectives and outlines ways in which you can satisfy the greatest number of those objectives, while ensuring that all areas of a corporation operate--and conflicts are resolved--under one consistent set of financial rules. Preface Acknowledgements Part I: Financing Decisions and Market Efficiency Chapter 1. Finance and the Financial Manager Chapter 2. An Overview of Corporate Financing Chapter 3. How Corporations Issue Securities Chapter 4. Corporate Financing and the Six Lessons of Marketing Efficiency Part II: Dividend Policy and Capital Structure Chapter 5. Does Debt Policy Matter? Chapter 6. How Much Should A Firm Borrow? Chapter 7. The Dividend Controversy Part III: Options Chapter 8. Spotting and Valuing Options Chapter 9. Warrants and Convertibles Part IV: Debt Financing Chapter 10. Valuing Debt Chapter 11. The Many Different Kinds of Debt Chapter 12. Leasing Part V: Risk Management Chapter 13. Managing Risk Chapter 14. Managing International Risks Part VI: Financial Planning Chapter 15. Financial Analysis and Planning Chapter 16. Short-Term Financial Planning Part VII: Short-Term Financial Management Chapter 17. Credit Management Chapter 18. Cash Management Chapter 19.Short-Term Lending and Borrowing Index Printed Pages: 492. Bookseller Inventory # 17559

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2.

Smith, Anthony
Published by Tata McGraw-Hill Education Pvt. Ltd. (2004)
ISBN 10: 0070590451 ISBN 13: 9780070590458
New Softcover First Edition Quantity Available: > 20
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A - Z Books
(New Delhi, DELHI, India)
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Book Description Tata McGraw-Hill Education Pvt. Ltd., 2004. Softcover. Book Condition: New. First edition. A Comprehensive Look at How Corporations Balance Financing and Risk from Two of Today`s Most Popular and Influential Finance Writers Today`s corporation has an unprecedented number of avenues for financing its operations. At the same time, the specter of risk is always in the background, ready to extract a heavy toll from any executive who overlooks or disregards its long shadow. Financing and Risk Management addresses the many ways in which corporations raise capital as they manage the concurrent risk. Filled with information and ideas that are both thought provoking and functional, it provides an indispensable look into the theory and mechanics of financing and risk, including: * How, why, and when a firm should assume debt, while keeping that debt from working against it * Financial techniques for hedging against omnipresent domestic and international risks * Strategies for creating shareholder value through integrated investment and operating programs Through seven editions, Brealey and Myers` classic textbook Principles of Corporate Finance has become renowned for presenting in-depth discussions of financial theory and practice in an engaging and lively style. The Brealey & Myers on Corporate Finance series brings this classic text into the business environment, providing time-pressed professionals with a more focused format while retaining the timeless guidance and inherent readability of the original Corporate financial management is at its core a fluid and constantly challenging area. Financing and Risk Management takes you inside the fundamental question of how a corporation generates capital. It introduces you to the subject`s often-conflicting objectives and outlines ways in which you can satisfy the greatest number of those objectives, while ensuring that all areas of a corporation operate--and conflicts are resolved--under one consistent set of financial rules. Preface Acknowledgements Part I: Financing Decisions and Market Efficiency Chapter 1. Finance and the Financial Manager Chapter 2. An Overview of Corporate Financing Chapter 3. How Corporations Issue Securities Chapter 4. Corporate Financing and the Six Lessons of Marketing Efficiency Part II: Dividend Policy and Capital Structure Chapter 5. Does Debt Policy Matter? Chapter 6. How Much Should A Firm Borrow? Chapter 7. The Dividend Controversy Part III: Options Chapter 8. Spotting and Valuing Options Chapter 9. Warrants and Convertibles Part IV: Debt Financing Chapter 10. Valuing Debt Chapter 11. The Many Different Kinds of Debt Chapter 12. Leasing Part V: Risk Management Chapter 13. Managing Risk Chapter 14. Managing International Risks Part VI: Financial Planning Chapter 15. Financial Analysis and Planning Chapter 16. Short-Term Financial Planning Part VII: Short-Term Financial Management Chapter 17. Credit Management Chapter 18. Cash Management Chapter 19.Short-Term Lending and Borrowing Index Printed Pages: 492. Bookseller Inventory # 17559

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3.

Smith, Anthony
Published by Mcgraw-Hill (1976)
ISBN 10: 0070590451 ISBN 13: 9780070590458
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Book Description Mcgraw-Hill, 1976. Paperback. Book Condition: New. Bookseller Inventory # DADAX0070590451

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