04988nam a22002417a 450000500170000000800410001702000180005804000180007608200210009410000230011524500970013825000130023526000430024830000310029150007460032250112580106850522640232665000280459065000330461865000390465165000310469070000250472120250422102232.0250415b |||||||| |||| 00| 0 eng d a9789391566111 cAIMIT LIBRARY 215a658.15bBRIE aBrigham, Eugene F. aFinancial management :btheory and practice /cBy Eugene F. Brigham and Michael C. Ehrhardt. a15th ed. aNew Delhi :bCengage Learning ;c2023. axxx,1180 p.;bpbc26.3 pm. aThe only text to strike a balance between solid financial theory and practical applications, Brigham/Ehrhardt’s FINANCIAL MANAGEMENT: THEORY AND PRACTICE, 15e gives you a thorough understanding of the essential concepts you need to develop and implement effective financial strategies. The book begins with a presentation of corporate finance fundamentals before progressing to discussions of specific techniques used to maximize the value of a firm. It also explores the recent financial and economic crises and the role of finance in the business world. With its relevant and engaging presentation, numerous examples, and emphasis on Excel usage, this text serves as a complete reference tool for you in your academic or business career. aOrganized to address key concepts and essential topics within the first 17 chapters, the text ensures your students receive the coverage they need whether you teach a one-semester or two-semester course. Later chapters provide more advanced and expanded treatment of topics to build upon earlier material and increase student mastery of concepts. This premier authorship team combines the extensive teaching background and more than 30 years of text writing experience of Dr. Gene Brigham with the contemporary scholarship and practical, professional expertise of Dr. Mike Ehrhardt. Together, these authors deliver a consistent, accurate and innovative approach that will keep your students first in finance. Updated, timely real-world examples throughout almost every chapter demonstrate the impact of today’s financial crisis in all areas of business and life. The “Global Economic Crisis" boxes in many chapters highlight specific finance issues related to today’s economic environment. Reflecting the latest headlines, up-to-date coverage is packed with real-world illustrations and gives students in-depth insight into this key topic. A refreshed, easier-to-read interior design makes the title more accessible and student friendly than ever. a Brief Contents : PART 1 THE COMPANY AND ITS ENVIRONMENT 1 An Overview of Financial Management and the Financial Environment 2 Financial Statements, Cash Flow, and Taxes 3 Analysis of Financial Statements PART 2 FIXED INCOME SECURITIES 4 Time Value of Money 5 Bonds, Bond Valuation, and Interest Rates PART 3 STOCKS AND OPTIONS 6 Risk and Return 7 Corporate Valuation and Stock Valuation 8 Financial Options and Applications in Corporate Finance PART 4 PROJECTS AND THEIR VALUATION 9 The Cost of Capital 10 The Basics of Capital Budgeting: Evaluating Cash Flows 11 Cash Flow Estimation and Risk Analysis PART 5 CORPORATE VALUATION AND GOVERNANCE 12 Corporate Valuation and Financial Planning 13 Corporate Governance PART 6 CASH DISTRIBUTIONS AND CAPITAL STRUCTURE 14 Distributions to Shareholders: Dividends and Repurchases 15 Capital Structure Decisions PART 7 MANAGING GLOBAL OPERATIONS 16 Supply Chains and Working Capital Management 17 Multinational Financial Management PART 8 TACTICAL FINANCING DECISIONS 18 Public and Private Financing: Initial Offerings, Seasoned Offerings, and Investment Banks 19 Lease Financing 20 Hybrid Financing: Preferred Stock, Warrants, and Convertibles PART 9 STRATEGIC FINANCE IN A DYNAMIC ENVIRONMENT 21 Dynamic Capital Structures and Corporate Valuation 22 Mergers and Corporate Control 23 Enterprise Risk Management 24 Bankruptcy, Reorganization, and Liquidation PART 10 SPECIAL TOPICS 25 Portfolio Theory and Asset Pricing Models 26 Real Options APPENDICES APPENDIX A Solutions to Self-Test Problems APPENDIX B Answers to End-of-Chapter Problems APPENDIX C Selected Equations APPENDIX D Values of the Areas under the Standard Normal Distribution Function WEB CHAPTERS: 27 Providing and Obtaining Credit 28 Advanced Issues in Cash Management and Inventory Control 29 Pension Plan Management 30 Financial Management in Not-for-Profit BusinessesrEugene F. Brigham, University of Florida Dr. Eugene F. Brigham is graduate research professor emeritus at the University of Florida, where he has taught since 1971. Dr. Michael C. Ehrhardt Dr. Michael C. Ehrhardt is a Professor Emeritus and current faculty member in two Executive MBA programs at the University of Tennessee. aFixed income securities aProjects and their Valuation aCorporate valuation and governance aManaging global operations aEhrhardt, Michael C.