Financial Management and Real Options / Edition 1

Financial Management and Real Options / Edition 1

by Jack Broyles
ISBN-10:
0471899348
ISBN-13:
9780471899341
Pub. Date:
01/17/2003
Publisher:
Wiley
ISBN-10:
0471899348
ISBN-13:
9780471899341
Pub. Date:
01/17/2003
Publisher:
Wiley
Financial Management and Real Options / Edition 1

Financial Management and Real Options / Edition 1

by Jack Broyles

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Overview

Financial Management and Real Options provides comprehensive and up-to-date coverage of financial management.  Jack Broyles' writing style makes concepts more easily understood and chapters significantly shorter than in comparable financial management textbooks.  Accordingly, this book is particularly suitable for students on MBA programmes and for executives. 

Product Details

ISBN-13: 9780471899341
Publisher: Wiley
Publication date: 01/17/2003
Pages: 456
Product dimensions: 6.99(w) x 9.72(h) x 0.99(d)

About the Author

Jack Broyles is a professional author and formerly held the following positions: Professor of Treasury Management at Cranfield School of Management, Harold Walter Siebens Fellow in Finance at Templeton College Oxford, Senior Lecturer in Finance at Warwick Business School, and Lecturer in Finance at London Business School. Dr Broyles is also co-author with Julian Franks of the highly successful Modern Managerial Finance (published by John Wiley & Sons) and other textbooks. He is a consultant to numerous major companies and banks, and his industry experience includes Planning Manager for a multinational company.

Table of Contents

Preface.

Part 1 Financial Management and Corporate Governance.

Financial Management and Corporate Governance.

Fundamental Methods of Financial Analysis.

An Introduction to Corporate Debt and Equity.

Shareholder Value in Efficient Markets.

Part 2 Valuation of Investment and Real Options.

An Introduction to the Appraisal of Capital Projects.

Pitfalls in Project Appraisal.

Further Project Appraisal Methods.

Appraising Projects with Real Options.

Valuing Interrelated Real Options.

Valuation of Companies with Real Options.

Mergers and Acquisitions.

Part 3 Financial Structure.

Portfolio Theory and Asset Pricing.

Calculating the Cost of Capital.

Long-term Financing.

Dividend Policy.

Divident Policy.

Part 4 Solvency Management.

Lease Finance.

Financial Planning and Solvency.

Managing Debtor Risk.

Managing Inventory Risk.

Managing Interest and Exchange Rate Risks.

Part 5 International Investment.

Appraising International Capital Projects.

Present Value Tables.

Probability Table.

INdex.
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