
Corporate Financial Management
by Glen Arnold, Deborah Lewis
6th Edition
Publisher: Pearson (Intl)
Book Details
| Print ISBN | 9781292140445 |
| eText ISBN | 9781292140483 |
| Publisher | Pearson (Intl) |
| Publishing Year | 2019 |
| Edition | 6th Edition |
| Language | English |
Corporate Financial Management, 6th Edition, is a textbook by Glen Arnold and Deborah Lewis published by Pearson (Intl). It offers a comprehensive survey of corporate finance theory and practice, preparing readers to make informed financial decisions crucial for business careers.
The volume covers major foundational areas, including investment appraisal, risk and return, and sources of finance. It also investigates corporate value alongside risk management approaches that incorporate derivative instruments.
Suitable for standalone modules or courses within business, accounting, finance, banking, and economics, the textbook balances theoretical concepts with practical application to assist both students and practitioners.
Table of Contents
Part 1: Introduction
Chapter 1: The financial world
Part 2: The investment decision
Chapter 2: Project appraisal: net present value and internal rate of return
Chapter 3: Project appraisal: cash flow and applications
Chapter 4: The decision-making process for investment appraisal
Chapter 5: Project appraisal: capital rationing, taxation and inflation
Part 3: Risk and return
Chapter 6: Risk and project appraisal
Chapter 7: Portfolio theory
Chapter 8: The Capital Asset Pricing Model and multi-factor models
Part 4: Sources of finance
Chapter 9: Stock markets
Chapter 10: Raising equity capital
Chapter 11: Long-term debt finance
Chapter 12: Short- and medium-term finance, treasury and working capital management
Chapter 13: Stock market efficiency
Part 5: Corporate value
Chapter 14: Value-based management
Chapter 15: Value-creation metrics
Chapter 16: The cost of capital
Chapter 17: Valuing shares
Chapter 18: Capital structure
Chapter 19: Dividend policy
Chapter 20: Mergers
Part 6: Managing risk
Chapter 21: Derivatives
Chapter 22: Managing exchange-rate risk
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