by Glen Arnold (Author)
This is a hugely popular, comprehensive introductory text on finance which will move the student from an assumption of no knowledge up to a sound intermediate level of knowledge.The book explores the theory underpinning this subject, and goes on to explore the gap between academic finance theory and real-world practice. The book provides an up-to-date picture of recent theoretical re-evaluations. It moves from a general appreciation of the financial world, through an intensive treatment of the investment decision, risk and return, and sources of finance, to a comprehensive analysis of corporate value, including mergers, risk management using derivatives, and managing exchange rate risk. *Comprehensive coverage of all mainstream topics in corporate finance, including topics of emerging importance, such as risk management using derivatives and shareholder value analysis and strategy. *A large quantity of FT and Investor's Chronicle case study material is used to illustrate corporate finance in the contemporary business world. *The text has been extensively reviewed by an academic team based in the UK, Singapore, South Africa, Norway and The Netherlands. *Strong learning package, feat
Format: Paperback
Pages: 1072
Edition: 1
Publisher: Financial Times/ Prentice Hall
Published: 18 May 1998
ISBN 10: 0273630784
ISBN 13: 9780273630784