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MARC Record from marc_columbia

Record ID marc_columbia/Columbia-extract-20221130-022.mrc:223181342:3477
Source marc_columbia
Download Link /show-records/marc_columbia/Columbia-extract-20221130-022.mrc:223181342:3477?format=raw

LEADER: 03477cam a2200529 a 4500
001 10927111
005 20150817122126.0
008 121001s2014 nyua b 001 0 eng
010 $a 2012039928
019 $a855260209$a862054409
020 $a9780078034763 (hbk. : alk. paper)
020 $a0078034760 (alk. paper)
020 $a9780077151560 (global edition)
020 $a0077151569 (global edition)
035 $a(OCoLC)ocn811778980
035 $a(OCoLC)811778980$z(OCoLC)855260209$z(OCoLC)862054409
035 $a(NNC)10927111
040 $aDLC$beng$cDLC$dCGQ$dOCLCO$dYDXCP$dBWX$dIAK$dOCLCF$dHEBIS$dOCLCQ$dNLGGC$dMEAUC
042 $apcc
050 00 $aHG4026$b.B667 2014
082 00 $a658.15$223
084 $a85.30$2bcl
100 1 $aBrealey, Richard A.
245 10 $aPrinciples of corporate finance /$cRichard A. Brealey, Stewart C. Myers, Franklin Allen.
250 $a11th ed.
260 $aNew York :$bMcGraw-Hill Irwin,$c©2014.
300 $a1 volume (various pagings) :$billustrations ;$c27 cm.
336 $atext$btxt$2rdacontent
337 $aunmediated$bn$2rdamedia
338 $avolume$bnc$2rdacarrier
490 1 $aThe McGraw-Hill/Irwin series in finance, insurance, and real estate
504 $aIncludes bibliographical references and index.
505 0 $aPart 1: Value. Introduction to corporate finance ; How to calculate present values ; Valuing bonds ; The value of common stocks ; Net present value and other investment criteria ; Making investment decisions with the net present value rule -- Part 2: Risk. Introduction to risk and return ; Portfolio theory and the capital asset pricing model ; Risk and the cost of capital -- Part 3: Best practices in capital budgeting. Project analysis ; Investment, strategy, and economic rents ; Agency problems, compensation, and performance measurement -- Part 4: Financing decisions and market efficiency. Efficient markets and behavioral finance ; An overview of corporate financing ; How corporations issue securities -- Part 5: Payout policy and capital structure. Payout policy ; Does debt policy matter? ; How much should a corporation borrow? ; Financing and valuation -- Part 6: Options. Understanding options ; Valuing options ; Real options -- Part 7: Debt financing. Credit risk and the value of corporate debt ; The many different kinds of debt ; Leasing -- Part 8: Risk management. Managing risk ; Managing international risks -- Part 9: Financial planning and working capital management. Financial analysis ; Financial planning ; Working capital management -- Part 10: Mergers, corporate control, and governance. Mergers ; Corporate restructuring ; Governance and corporate control around the world -- Part 11: Conclusion. Conclusion: What we do and do not know about finance.
650 0 $aCorporations$xFinance.
650 7 $aCorporations$xFinance.$2fast$0(OCoLC)fst00879841
650 7 $aFinanzierung$2gnd$0(DE-588)4017182-6
650 7 $aFinanzplanung$2gnd$0(DE-588)4017200-4
650 7 $aUnternehmen$2gnd$0(DE-588)4061963-1
650 7 $aWirtschaftstheorie$2gnd$0(DE-588)4079351-5
650 7 $aFinanztheorie$2gnd$0(DE-588)4154425-0
650 7 $aCorporate Finance$2gnd$0(DE-588)4269795-5
700 1 $aMyers, Stewart C.
700 1 $aAllen, Franklin,$d1956-
830 0 $aMcGraw-Hill/Irwin series in finance, insurance, and real estate.
852 00 $bleh$hHG4026$i.B667 2014
852 00 $bbus$hHG4026$i.B667 2014
852 00 $bbus$hHG4026$i.B667 2014