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Financial Management Theory and Practice (An Asia Edition) 1. Chapters are adapted to explain practices and nuances in Asian markets and corporate sectors different from Europe and the United States 2. Provides a more international perspective of financing issues that firms in emerging or small economies face 3. Discusses the differences in regulatory and operating environments in emerging Asia 4. Showcases successful Asian corporations that have grown substantially over the last decade 5. Uses Asian cases and examples throughout
PART I: Fundamental Concepts of Corporate Finance Ch 1 An Overview of Financial Management and the Financial Environment Ch 2 Financial Statements, Cash Flow, and Taxes Ch 3 Analysis of Financial Statements PART ¢º: Fixed Income Securities Ch 4 Time Value of Money Ch 5 Bonds, Bond Valuation, and Interest Rates PART ¢»: Stocks and Options Ch 6 Risk, Return, and the Capital Asset Pricing Model Ch 7 Stocks, Stock Valuation, and Stock Market Equilibrium Ch 8 Financial Options and Applications in Corporate Finance PART ¢¼: Projects and Their Valuation Ch 9 The Cost of Capital Ch10 The Basics of Capital Budgeting: Evaluating Cash Flows Ch11 Cash Flow Estimation and Risk Analysis PART ¢½: Corporate Valuation and Governance Ch12 Financial Planning and Forecasting Financial Statements Ch13 Corporate Valuation, Value-Based Management and Corporate Governance PART ¢¾: Cash Distributions and Capital Structure Ch14 Distributions to Shareholders: Dividends and Repurchases Ch15 Capital Structure Decisions PART ¢¿: Managing Global Operations Ch16 Working Capital Management Ch17 Multinational Financial Management PART ¢À: Tactical Financing Decisions Ch18 Lease Financing Ch19 Hybrid Financing: Preferred Stock, Warrants, and Convertibles Ch20 Initial Public Offerings, Investment Banking, and Financial Restructuring PART ¢Á: Special Topics Ch21 Mergers, LBOs, Divestitures, and Holding Companies Ch22 Bankruptcy, Reorganization, and Liquidation Ch23 Derivatives and Risk Management PART ¢Â: Advanced Issues Ch24 Portfolio Theory, Asset Pricing Models, and Behavioral Finance Ch25 Real Options Ch26 Analysis of Capital Structure Theory APPENDIX A Solutions to Self-Test Problems APPENDIX B Answers to End-of-Chapter Problems APPENDIX C Selected Equations and Data APPENDIX D Values of the Areas under the Standard Normal Distribution Function
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