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Contemporary Financial Management (with Thomson One - Business School Edition 6-Month Printed Access Card) Hardcover – 1 January 2014

4.2 out of 5 stars 34 ratings
Edition: 13th Revised ed.

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Product details

  • Publisher : South Western Educational Publishing; 13th Revised ed. edition (1 January 2014)
  • Language : English
  • Hardcover : 960 pages
  • ISBN-10 : 1285198840
  • ISBN-13 : 978-1285198842
  • Dimensions : 20.96 x 3.81 x 26.04 cm
  • Customer Reviews:
    4.2 out of 5 stars 34 ratings

Product description

Review

Part I: INTRODUCTION. 1. The Role and Objective of Financial Management. 2. The Domestic and International Financial Marketplace. 3. Evaluation of Financial Performance. 4. Financial Planning and Forecasting. Part II: DETERMINANTS OF VALUATION. 5. The Time Value of Money. 6. Fixed Income Securities: Characteristics and Valuation. 7. Common Stock: Characteristics, Valuation, and Issuance. 8. Analysis of Risk and Return. Part III: THE CAPITAL INVESTMENT DECISION. 9. Capital Budgeting and Cash Flow Analysis. 10. Capital Budgeting: Decision Criteria and Real Option Considerations. 11. Capital Budgeting and Risk. Part IV: THE COST OF CAPITAL, CAPITAL STRUCTURE, AND DIVIDEND POLICY. 12. The Cost of Capital. 13. Capital Structure Concepts. 14. Capital Structure Management in Practice. 15. Dividend Policy. Part V: WORKING CAPITAL MANAGEMENT. 16. Working Capital Policy and Short-Term Financing. 17. The Management of Cash and Marketable Securities. 18. The Management of Accounts Receivable and Inventories. Part VI: ADDITIONAL TOPICS IN CONTEMPORARY FINANCIAL MANAGEMENT. 19. LEASE AND INTERMEDIATE-TERM FINANCING. 20. Financing with Derivatives. 21. Risk Management. 22. International Financial Management. 23. Corporate Restructuring. Appendix 2A: Taxes. Appendix 5A: Continuous Compounding and Discounting. Appendix 9A: Depreciation. Appendix 10A: Mutually Exclusive Investments Having Unequal Lives. Appendix 14A: Breakeven Analysis. Appendix 20A: The Black-Scholes Option Pricing Model. Appendix 20B: Bond Refunding Analysis.

About the Author

Charles Moyer is Professor of Finance and Entrepreneurship and Dean Emeritus of the College of Business at the University of Louisville, earned his BA in Economics from Howard University and his MBA and PhD in Finance and Managerial Economics from the University of Pittsburgh. Professor Moyer is Dean Emeritus and former holder of the GMAC Insurance Chair in Finance at the Babcock Graduate School of Management, Wake Forest University. He also has taught at the University of Houston, Lehigh University, and the University of New Mexico and spent a year at the Federal Reserve Bank of Cleveland and a year at the Department of Commerce in Washington. Professor Moyer has taught extensively abroad in Germany, France, and Russia. In addition to this text, Moyer has coauthored Managerial Economics, 13th edition (Cengage-South-Western, 2014). He has been published in many leading journals, is a member of the Board of Directors of Summit Biosciences, Capitala, and the Kentucky Seed Capital Fund. He has supplied cost of capital testimony in nearly 100 public utility rate cases.

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