Financial Statement Analysis: Understanding how to read, interpret, and analyze financial statements (balance sheets, income statements, cash flow statements) to evaluate a company's financial health.
Time Value of Money: Grasping the concept that money has different values at different times and understanding techniques like present value, future value, and discounting.
Cost of Capital: Understanding the cost of different sources of capital (equity, debt) and its significance in investment decisions and capital budgeting.
Capital Budgeting Techniques: Learning methods like Net Present Value (NPV), Internal Rate of Return (IRR), and Payback Period to evaluate investment projects.
Risk and Return: Understanding the relationship between risk and return, portfolio diversification, and the Capital Asset Pricing Model (CAPM).
Working Capital Management: Managing short-term assets and liabilities to ensure the smooth operation of a business and maintaining adequate liquidity.
Capital Structure: Understanding the mix of debt and equity used to finance a company's operations and its impact on risk and returns.
Dividend Policy: Exploring various dividend policies and their effects on shareholder value and company growth.
Financial Markets and Instruments: Understanding different financial markets (stock markets, bond markets) and financial instruments (stocks, bonds, derivatives) and their roles in the economy.
Corporate Finance Strategies: Grasping financial decision-making strategies, including mergers and acquisitions, capital restructuring, and corporate governance.
Language | English |
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ISBN-10 | 9780070528024 |
ISBN-13 | 9780070528024 |
No of pages | 502 |
Font Size | Medium |
Book Publisher | Tata Mcgraw-Hill |
Published Date | 01 Jan 2003 |
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