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『英文書』The Basics Of Finance + Web Site: An Introductionto Financial Markets, Business Finance, And Portfolio Management9780470609712

書城自編碼: 2090175
分類: 簡體書→原版英文書
作者: Pamela
國際書號(ISBN): 9780470609712
出版社: Wiley
出版日期: 2010-09-01
版次: 1 印次: 1
頁數/字數: 604/
書度/開本: 16开 釘裝: 精装

售價:NT$ 5011

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內容簡介:
An introductory guide to the world of finance
The Basics of Finance is an accessible book for those who want
to gain a better understanding of this field, but lack a strong
business background. It covers essential concepts, tools, methods,
and strategies in finance without delving too far into theory.
Written by the experienced author team of Frank Fabozzi and
Pamela Peterson Drake, this reliable resource discusses everything
from financial instruments and markets to portfolio management
techniques, understanding and analyzing financial statements, and
different types of corporate financial strategy, planning, and
policy.

Explores, in a basic way, topics such as cash flow analysis, asset
valuation, capital budgeting, and derivatives
Provides a solid foundation in the field of finance, which you can
quickly build upon
Explains concepts in various areas of finance without getting too
complicated
The Basics of Finance offers essential guidance on financial
markets and institutions, corporate finance, portfolio management,
risk management, and much more. If you''re looking to learn more
about finance, this is the best place to start.
關於作者:
PAMELA PETERSON DRAKE, PhD,
CFA, is the J. Gray Ferguson Professor of Finance and Department
Head of Finance and Business Law at James Madison University. She
received her PhD in finance from the University of North Carolina
at Chapel Hill and her BS in accountancy from Miami University.
Professor Drake previously taught at Florida State University and
Florida Atlantic University.

Frank J. Fabozzi, PhD, CFA, CPA, is Professor in the Practice of
Finance and Becton Fellow at the Yale School of Management and
Editor of the Journal of Portfolio Management. Fabozzi earned a
doctorate in economics from the City University of New York. He is
an Affiliated Professor at the University of Karlsruhe''s Institute
of Statistics, Econometrics, and Mathematical Finance and is on the
Advisory Council for the Department of Operations Research and
Financial Engineering at Princeton University.
目錄
Preface.
Acknowledgments.
Chapter 1 What is Finance?
Capital Markets Capital Market Theory.
Financial Management.
Investment management.
Organization of this book.
The Bottom Line.
Questions.
Part One: The Financial System.
Chapter 2 Financial Instruments, Markets, and
Intermediaries.
The financial system.
The Role of Financial Markets.
The role of financial intermediaries.
Types of financial markets.
The Bottom Line.
Questions.
Chapter 3 The Financial System’s Cast of Characters.
Domestic nonfinancial sectors.
Nonfinancial businesses.
Domestic financial sectors.
The foreign sector.
The Bottom Line.
Questions.
Part Two: Financial Management.
Chapter 4 Financial Statements.
Accounting principles: What are they?
The basic financial statements.
How are the statements related?
Why bother about the footnotes?
Accounting flexibility.
U.S. accounting v. outside of the U.S.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 5 Business Finance.
Forms of business enterprise.
The objective of financial management.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 6 Financial Strategy and Financial Planning.
Strategy and value.
The budgeting process.
Budgeting.
Performance evaluation.
Strategy and value creation.
The Bottom Line.
Questions.
Chapter 7 Dividend and Dividend Policies.
Dividends.
Stock distributions.
Dividend policy.
Stock repurchases.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 8 The Corporate Financing Decision.
Debt v. equity.
Financial leverage and risk.
Financial distress.
The cost of capital.
Optimal capital structure: Theory and practice.
The Bottom Line.
Solutions to Try It! Problems.
Questions.
Chapter 9 Investment Management.
Setting investment objectives.
Establishing an investment policy.
Constructing and monitoring a portfolio.
Measuring and evaluating performance.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Part Three: Valuation and Analysis Tools.
Chapter 10 Time Value of Money.
Why the time value of money?
Calculating the future value.
Calculating a present value.
Determining the unknown interest rate.
The time value of a series of cash flows.
Annuities.
Loan amortization.
Interest rates and yields.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 11 Financial Ratio Analysis.
Classifying financial ratios.
Liquidity.
Profitability ratios.
Activity ratios.
Financial leverage.
Return on investment.
The Du Pont system.
Common-size analysis.
Using financial ratio analysis.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 12 Cash Flow Analysis.
Difficulties with measuring Cash Flow.
Free cash flow.
Usefulness of cash flows analysis.
Ratio analysis.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 13 Capital Budgeting.
Investment decisions and owners'' wealth.
The capital budgeting process.
Determining cash flows from investments.
Capital budgeting techniques.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Part Four: Investments.
Chapter 14 The World of Derivatives.
Futures and forward contracts.
Options.
Swaps.
The Bottom Line.
Appendix: Black-Scholes option pricing model.
Solutions to Try it! Problems.
Questions.
Chapter 15 Financial Risk Management.
The definition of risk.
Enterprise risk management.
Managing risks.
The Bottom Line.
Questions.
Chapter 16 The Theory of Portfolio Selection.
Some basic concepts.
Estimating a portfolio''s expected return.
Measuring portfolio risk.
Portfolio diversification.
Choosing a portfolio of risky assets.
Behavioral finance and portfolio theory.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 17 Asset Pricing Theory: The Capital Asset Pricing
Model.
Characteristics of an asset pricing model.
Overview of the capital asset pricing model.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 18 The Structure of Interest Rates.
The base interest rate.
The term structure of interest rates.
Term structure of interest rates theories.
Swap rate yield curve.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 19 Valuing Common Stock.
Discounted cash flow models.
Relative valuation methods.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Chapter 20 Valuing Bonds.
Valuing a bond.
Conventional yield measures.
Valuing bonds that have embedded options.
The Bottom Line.
Solutions to Try it! Problems.
Questions.
Appendix: Solutions to End of Chapter Questions and
Problems.
Glossary.
About the Authors.
Index.

 

 

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