Financial Management: Theory And Practice

Hardcover | January 18, 2016

byEugene F. Brigham, Michael C. Ehrhardt, Jerome Gessaroli

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The third Canadian edition of Brigham's Financial Management: Theory and Practice delivers solid financial theory and practical applications, preparing students for future careers in business and finance in an engaging manner that makes the content come alive. This resource emphasizes the actions that a manager should take to increase the value of the firm. Structuring the book around valuation and cash flows enhances continuity and helps students see how topics relate to one another. The hallmark of this resource is "The Corporate Valuation Framework", a pedagogical feature presented early in each chapter. By highlighting specific parts of the framework, the model explicitly shows how each chapter relates to corporate valuation.The book begins with fundamental concepts, including background on the economic and financial environment, financial statements (with an emphasis on cash flows), the time value of money, financial forecasting, bond valuation, risk analysis, and stock valuation. With this background, students then learn specific techniques and decision rules that can be used to help maximize the value of the firm.MindTap raises the bar with multimedia, Concept Clips and Aplia problem sets: providing the ideal solution for keeping students on track and prepared for tests and exams. Highly customizable, instructors can add RSS feeds, YouTube videos, Google docs and more to further increase student engagement and achieve deeper learning.

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From the Publisher

The third Canadian edition of Brigham's Financial Management: Theory and Practice delivers solid financial theory and practical applications, preparing students for future careers in business and finance in an engaging manner that makes the content come alive. This resource emphasizes the actions that a manager should take to increase ...

Format:HardcoverDimensions:784 pages, 11.2 × 8.75 × 1.25 inPublished:January 18, 2016Publisher:Nelson College IndigenousLanguage:English

The following ISBNs are associated with this title:

ISBN - 10:017658305X

ISBN - 13:9780176583057

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Table of Contents

Part 1: Fundamental ConceptsChapter 1: An Overview of Financial Management and the Financial EnvironmentChapter 2: Financial Statements, Cash Flow, and TaesChapter 3: Analysis of Financial StatementsChapter 4: Time Value of MoneyChapter 5: Financial Planning and Forecasting Financial StatementsPart 2: Securities and Their ValuationChapter 6: Bonds, Bond Valuation, and Interest RatesChapter 7: Risk, Return, and the Capital Asset Pricing ModelChapter 8: Stocks, Stock Valuation, and Stock Market EquilibriumPart 3: Projects and Their ValuationChapter 9: The Cost of CapitalChapter 10: The Basics of Capital Budgeting: Evaluating Cash FlowsChapter 11: Cash Flow Estimation and Risk AnalysisPart 4: Financing ActivitiesChapter 12: Capital Structure DecisionsChapter 13: Distributions to Shareholders: Dividends and RepurchasesChapter 14: Initial Public Offerings, Investment Banking, and Financial RestructuringChapter 15: Lease FinancingChapter 16: Capital Market Financing: Hybrid and Other SecuritiesChapter 17: Working Capital Management and Short-Term FinancingChapter 18: Current Asset ManagementPart 5: Derivative TechniquesChapter 19: Financial Options and Applications in Corporate FinanceChapter 20: Enterprise Risk ManagementPart 6: Special TopicsChapter 21: International Financial ManagementChapter 22: Corporate Valuation and GovernanceChapter 23: Mergers, Acquisitions, and RestructuringWeb Chapter 24: Decision Trees, Real Options, and Other Capital Budgeting Topics Appendix A: Answers to End-of-Chapter ProblemsAppendix B: Selected Equations and DataAppendix C: Values of the Areas under the Standard Normal Distribution FunctionGlossaryName IndexSubject IndexWeb Appendix: Solutions to Concept Review Problems