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  • Modern Financial Management: Alternate edition
      • GET 10% OFF

      • The discount is only available for 'Alert of Favourite Topics' newsletter recipients.
      • Publisher's listprice GBP 50.99
      • The price is estimated because at the time of ordering we do not know what conversion rates will apply to HUF / product currency when the book arrives. In case HUF is weaker, the price increases slightly, in case HUF is stronger, the price goes lower slightly.

        24 360 Ft (23 200 Ft + 5% VAT)
      • Discount 10% (cc. 2 436 Ft off)
      • Discounted price 21 924 Ft (20 880 Ft + 5% VAT)

    24 360 Ft

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    Product details:

    • Edition number 8
    • Publisher McGraw-Hill Higher Education
    • Date of Publication 1 May 2007

    • ISBN 9780071286527
    • Binding Paperback
    • No. of pages pages
    • Size 251x203x35 mm
    • Weight 1608 g
    • Language English
    • Illustrations w. col. figs.
    • 0

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    Long description:

    Modern Financial Management, 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.

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    Table of Contents:

    PART I


    1 Introduction to Corporate Finance


    2 Financial Statements and Cash Flow


    3 Financial Statements Analysis and Long-Term Planning


    4 Discounted Cash Flow Valuation


    5 How to Value Bonds and Stocks


    6 Net Present Value and Other Investment Rules


    7 Making Capital Investment Decisions


    8 Risk Analysis, Real Options, and Capital Budgeting


    PART III


    9 Risk and Return: Lessons from Market History


    10 Return and Risk: The Capital Assets Pricing Model (CAPM)


    11 An Alternative View of Risk and Return: The Arbitrage Pricing Theory


    12 Risk, Cost of Capital, and Capital Budgeting


    13 Corporate Financing Decisions and Efficient Capital Markets


    14 Long-Term Financing: An Introduction


    15 Capital Structure: Basic Concepts


    16 Capital Structure: Limits to the Use of Debt


    17 Valuation and Capital Budgeting for the Levered Firm


    18 Dividends and Other Payouts


    PART V


    19 Issuing Securities to the Public


    20 Long-Term Debt


    21 Leasing


    PART VI


    22 Options and Corporate Finance


    23 Options and Corporate Finance: Extensions and Applications


    24 Warrants and Convertibles


    25 Derivatives and Hedging Risk


    26 Short-Term Finance and Planning


    27 Cash Management


    28 Credit Management


    29 Mergers and Acquisitions


    30 Financial Distress


    31 International Corporate Finance

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