Author: Zhang Chunyi
Publisher:
Publish Date: 2003-03-01
Features: In "Financial Management," you will be surprised to find that you can apply the basic principles and methods learned in this course to solve practical problems in financial management, while also changing your financial thinking and concepts. Upon completing this course, you will be able to:
· Describe the responsibilities of your company's financial manager;
· Explore and apply different financing methods based on different company situations;
· Fully utilize financial leverage to avoid financial risks, ensure profit realization, and safeguard company assets;
· Formulate dividend policies that meet the diverse needs of shareholders while aligning with the company's current and future development;
· Combine the characteristics of different types of company assets to use them reasonably and effectively;
· Apply appropriate investment decision-making methods to assist the company in long-term investment decisions;
· Choose the mergers or acquisitions that the company can undertake to achieve rapid development and growth, as well as how to finance such mergers and acquisitions.
It should be noted that the study and practice of "Financial Management" have never been as challenging and exciting as they are today. Over the past few years, we have witnessed the innovation of financial instruments. Almost every day, global financial newspapers and magazines report on mergers, acquisitions, junk bonds, bankruptcies, splits, and financial derivatives. The theory and practice of financial management are changing rapidly, so the content of the study must keep pace with these developments. However, this is difficult. We can only focus on the basic principles and methods of financial management, combined with case studies, while filtering through the complex economic trends to provide students with selected, representative, and practical materials.
International Accounting and Finance Series Textbooks: Financial Management (Revised Edition 2003)
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