出版時(shí)間:2007-3 出版社:中國(guó)人大 作者:斯蒂芬A羅斯 頁(yè)數(shù):457
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內(nèi)容概要
本書(shū)是當(dāng)今世界上最具影響力的著名經(jīng)濟(jì)學(xué)家和金融學(xué)家斯蒂芬·A·羅斯等教授的最新力作。全書(shū)共五篇,共17章。第1篇為總論,主要介紹了財(cái)務(wù)管理的概念、目標(biāo)、財(cái)務(wù)報(bào)表、現(xiàn)金流量、財(cái)務(wù)分析等內(nèi)容。第2篇為價(jià)值與資本預(yù)算,主要介紹了債券與股票的價(jià)值、資本預(yù)算及投資決策方法等內(nèi)容。第3篇為風(fēng)險(xiǎn)與報(bào)酬,主要介紹了風(fēng)險(xiǎn)、報(bào)酬、資本資產(chǎn)定價(jià)模型等內(nèi)容。第4篇為資本結(jié)構(gòu)與股利政策,主要介紹了 有效資本市場(chǎng)理論、資本結(jié)構(gòu)理論與股利政策等內(nèi)容。第5篇為專題,主要介紹了營(yíng)運(yùn)資本管理、現(xiàn)金預(yù)算、短期財(cái)務(wù)計(jì)劃等內(nèi)容?! ”緯?shū)可作為高等院校工商管理專業(yè)或財(cái)經(jīng)類專業(yè)本科生、MBA的優(yōu)秀教材,其他有興趣學(xué)習(xí)公司理財(cái)?shù)睦碚撆c應(yīng)用的讀者也可從中獲益。
作者簡(jiǎn)介
斯蒂芬·A·羅斯,著名的經(jīng)濟(jì)學(xué)家和金融學(xué)家,現(xiàn)任美國(guó)麻省理工學(xué)院斯隆管理學(xué)院教授、羅爾-羅斯資產(chǎn)管理公司總裁、美國(guó)藝術(shù)與科學(xué)學(xué)院院士、國(guó)際金融工程學(xué)會(huì)會(huì)員、加州理工學(xué)院理事,同時(shí)還擔(dān)任數(shù)家知名經(jīng)濟(jì)與金融學(xué)刊物的編委。曾任美國(guó)金融學(xué)會(huì)主席(1988年)、計(jì)量經(jīng)濟(jì)
書(shū)籍目錄
PART ONE Overview CHAPTER ONE Introduction to Corporate Finance 1.1 What Is Corpporate Finance? 1.2 The Corporate Firm 1.3 The Goal of Financial Management 1.4 The Agency Problem and Control of the Corporation 1.5 Financial Markets Summary and Conclusions CHAPTER TOW Financial Statements and Cash Flow 2.1 The Balance Sheet 2.2 The Income Statement 2.3 Taxes 2.4 Net Working Capital 2.5 Financial Cash Flow 2.6 The Accounting Statement of Cash Flows Summary and Conclusions CHAPTER THREE Financial Statements Analysis and Long-Term Planning 3.1 Financial Statements Analysis 3.2 Ratio Analysis 3.3 The Du Pont Identity 3.4 Using Financial Statement Information 3.5 Long-Term Financial Planning 3.6 External Financing and Growth 3.7 Some Caveats regarding Financial Planning Models Summary and ConclusionsPART TWO Valuation and Capital Budgeting CHAPTER FOUR Discounted Cash Flow Valuation CHAPTER FIVE Interest Rates and Bond Valuation CHAPTER Stock Valuation CHAPTER Net Present Value and Other Investment Rules CHAPTER Making Capital Investment Decisions CHAPTER Risk Analysis,Real Options,and Capital Budgeting PART THERR Risk and Return CHAPTER TEN Risk and Return Lessons from Market History CHAPTER ELEVEN Return and Risk:The Capital Asset Pricing Model(CAPM) CHAPTER TWELVE Risk,Cost of Capital,and Capital Budgeting APRT FOUR Capital Structure and Dividend Policy CHAPTER THIRTEEN Corporate Financing Decisions and Efficient Capital Markets CHAPTER FOURTEEN Capital Structure:Basic Concepts CHAPTER FIFTEEN Capital Structure:Limits to the Use of Debt CHAPTER SIXTEEN Dividends and Other PayoutsPART FIVE Special Topics CHAPTER SEVENTEEN Short-Term Finance and Planning APPENDIX A MATHEMATICAL TABLES
編輯推薦
《公司理財(cái)》可作為高等院校工商管理專業(yè)或財(cái)經(jīng)類專業(yè)本科生、MBA的優(yōu)秀教材,其他有興趣學(xué)習(xí)公司理財(cái)?shù)睦碚撆c應(yīng)用的讀者也可從中獲益。
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