Corporate Finance with S&P card
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Product details:
- Edition number 8
- Publisher McGraw-Hill
- Date of Publication 1 December 2006
- ISBN 9780073337180
- Binding Hardback
- No. of pages pages
- Size 254x203x39 mm
- Weight 1858 g
- Language English 0
Categories
Long description:
Corporate Finance, by Ross, Westerfield, and Jaffe is a popular textbook that emphasizes the modern fundamentals of the theory of finance, while providing contemporary examples to make the theory come to life. The authors aim to present corporate finance as the working of a small number of integrated and powerful intuitions, rather than a collection of unrelated topics. They develop the central concepts of modern finance: arbitrage, net present value, efficient markets, agency theory, options, and the trade-off between risk and return, and use them to explain corporate finance with a balance of theory and application. The well-respected author team is known for their clear, accessible presentation of material that makes this text an excellent teaching tool. Brad Jordan, known for his successful work on the RWJ Fundamentals and Essentials books, contributed to this edition. His influence will be seen particularly in the writing style with smoother coverage of topics, and the increased quality in the problem material.
MoreTable of Contents:
PART I
1Introduction to Corporate Finance
2Financial Statements and Cash Flow
3Financial Statements Analysis and Long-Term Planning
4Discounted Cash Flow Valuation
5How to Value Bonds and Stocks
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
2Financial Statements and Cash Flow
3Financial Statements Analysis and Long-Term Planning
4Discounted Cash Flow Valuation
5How to Value Bonds and Stocks
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
3Financial Statements Analysis and Long-Term Planning
4Discounted Cash Flow Valuation
5How to Value Bonds and Stocks
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
4Discounted Cash Flow Valuation
5How to Value Bonds and Stocks
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
5How to Value Bonds and Stocks
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
6Net Present Value and Other Investment Rules
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
7Making Capital Investment Decisions
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
8Risk Analysis, Real Options, and Capital Budgeting
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
PART III
9Risk and Return: Lessons from Market History
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
10Return and Risk: The Capital Assets Pricing Model (CAPM)
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
11An Alternative View of Risk and Return: The Arbitrage Pricing Theory
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
12Risk, Cost of Capital, and Capital Budgeting
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
13Corporate Financing Decisions and Efficient Capital Markets
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
14Long-Term Financing: An Introduction
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
15Capital Structure: Basic Concepts
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
16Capital Structure: Limits to the Use of Debt
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
17Valuation and Capital Budgeting for the Levered Firm
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
18Dividends and Other Payouts
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
PART V
19Issuing Securities to the Public
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
20Long-Term Debt
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
21Leasing
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
PART VI
22Options and Corporate Finance
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
23Options and Corporate Finance: Extensions and Applications
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
24Warrants and Convertibles
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
25Derivatives and Hedging Risk
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
26Short-Term Finance and Planning
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
27Cash Management
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
28Credit Management
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
29Mergers and Acquisitions
30Financial Distress
31International Corporate Finance
More
30Financial Distress
31International Corporate Finance
More
31International Corporate Finance
More
Corporate Finance with S&P card
63 058 HUF
56 752 HUF