Financial Management: Theory & Practice (with Thomson ONE - Business School Edition 1-Year Printed Access Card)
Brigham, Eugene F., Ehrhardt, Michael C.
Language: English
Published by Cengage Learning (edition 14), 2013
- Hardcover
- Used

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The item might be beaten up but readable. May contain markings or highlighting, as well as stains, bent corners, or any other major defect, but the text is not obscured in any way.
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- Title
- Financial Management: Theory & Practice (with Thomson ONE - Business School Edition 1-Year Printed Access Card)
- Author
- Brigham, Eugene F., Ehrhardt, Michael C.
- Publisher
- Cengage Learning (edition 14)
- Publication year
- 2013
- Condition
- Fair
- Binding
- Hardcover
- Language
- English
- ISBN 10
- 1111972206
- ISBN 13
- 9781111972202
- Edition
- 14.
"Synopsis" may belong to another edition of this title.
About the Author
Dr. Michael C. Ehrhardt is a Professor Emeritus and current faculty member in two Executive MBA programs at the University of Tennessee. He received a B.S. in Civil Engineering and a B.A. in Economics at Swarthmore College. After working several years as an engineer, he earned his M.S. in Operations Research and Ph.D. in Finance from the Georgia Institute of Technology. Dr. Ehrhardt has taught extensively at the undergraduate, master's and doctoral levels in the areas of investments, corporate finance and capital markets. He has directed and served on numerous dissertation committees. Dr. Ehrhardt teaches in executive education programs and consults in the areas of corporate valuation, value-based compensation plans, financial aspects of supply chain management and the cost of capital. His honors include the Allen G. Keally Outstanding Teacher Award, the Tennessee Organization of MBA Students Outstanding Faculty Award, the College of Business Administration Research & Teaching Award and the John B. Ross Outstanding Teaching Award in the College of Business. An author and co-author of several books addressing various areas of finance, Dr. Ehrhardt focuses much of his research on corporate valuation and asset pricing models, including pricing models for interest-rate sensitive instruments. His work has been published in numerous journals, including THE JOURNAL OF FINANCE, JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, FINANCIAL MANAGEMENT, THE FINANCIAL REVIEW, THE JOURNAL OF FINANCIAL RESEARCH and THE JOURNAL OF BANKING AND FINANCE.
"About the title" may belong to another edition of this title.
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