Corporate Finance: A Systematic Approach / by Kuo-Ping Chang
(Springer Texts in Business and Economics. ISSN:21924341)
Publisher | (Singapore : Springer Nature Singapore : Imprint: Springer) |
---|---|
Year | 2023 |
Edition | 1st ed. 2023. |
Authors | *Chang, Kuo-Ping author SpringerLink (Online service) |
Hide book details.
Links to the text | Location | Volume | Call No. | Barcode No. | Status | Comments | ISBN | Printed | Restriction | Reserve |
---|---|---|---|---|---|---|---|---|---|---|
Links to the text | Library Off-campus access |
|
OB00193009 | Springer Economics and Finance eBooks (電子ブック) | 9789811991196 |
|
|
Hide details.
Material Type | E-Book |
---|---|
Media type | 機械可読データファイル |
Size | XI, 210 p. 40 illus., 1 illus. in color : online resource |
Notes | Introduction -- Basic Concepts of Valuation -- The Ownership and Objectives of the Firm -- Financial Statements and Financial Ratios -- Opportunity Cost and Investment Criteria -- Internal Rate of Return, Profitability Index and Payback Period Methods -- Risk and Return -- Capital Structure in a Perfect Market -- Derivatives and Corporate Finance -- Behavioral Finance and Efficient Markets -- Capital Structure in an Imperfect Market -- Payout Policy -- Merges and Acquisitions -- Corporate Governance This textbook takes on a systematic approach to elaborating on the different subjects within corporate finance. The chapters bring together existing concepts with examples and stories that allow students to easily understand and apply financial tools. In doing so, the book strives to clarify misconceptions in the literature on topics related to firm’s ownership and control, problems of the Modigliani-Miller first and second propositions, relationship between options and corporate finance, behavioral finance versus corporate finance, etc. The book takes into consideration the growing importance of the Asian economy and financial markets in recent years, and constructs the P-index to measure and compare the risk structures of US and China’s stocks and stock indexes. This book is a primary text written for the introductory courses in corporate finance at the M.B.A. level and for the intermediate courses in undergraduate programs, but can also be of great use to Ph.D. students as well as professionals HTTP:URL=https://doi.org/10.1007/978-981-19-9119-6 |
Subjects | LCSH:Business enterprises—Finance LCSH:Economics—Psychological aspects LCSH:Consolidation and merger of corporations LCSH:Accounting LCSH:Capital market LCSH:Financial risk management FREE:Corporate Finance FREE:Behavioral Finance FREE:Mergers and Acquisitions FREE:Financial Accounting FREE:Capital Markets FREE:Risk Management |
Classification | LCC:HG4001-4285 DC23:658.15 |
ID | 8000092160 |
ISBN | 9789811991196 |
Similar Items
Usage statistics of this contents
Number of accesses to this page:6times