Corporate Finance

Author: Qian Haibo
Publisher:
Publish Date: 2003-09-01
Features: To meet the teaching needs of relevant majors in higher education institutions for corporate finance, we have organized a team to compile a textbook that is both innovative and practical and systematic. This book can serve as a teaching material for students of relevant majors in higher financial and economic institutions studying the "Corporate Finance" course, as well as a reference book for economic and management cadres for self-study or training. This textbook takes risk and return as the main line, explaining the basic theories and practical techniques of corporate finance. With risk and return as the main line and business war examples as the background, it adopts a parallel approach of "theory, methods, and cases" to explain the basic theories and practical techniques of corporate finance. The entire book is divided into 12 chapters. Chapter 1 serves as the foundational chapter of the book, primarily elaborating on basic theoretical issues such as the objectives, content, principles, and environment of corporate finance. Chapters 2 to 9 form the core chapters of the book, starting with financial analysis and subsequently introducing practical methods and techniques such as the time value of money, security valuation, investment policy, financing decisions, and risk and return. Chapters 10 to 12 are the special chapters of the book, discussing basic content such as corporate mergers, reorganization, and liquidation, as well as the financial management of multinational corporations.

📌 Related Posts