Management of company finance:
Gespeichert in:
Hauptverfasser: | , , |
---|---|
Format: | Buch |
Sprache: | Undetermined |
Veröffentlicht: |
London [u.a.]
Chapman and Hall
1990
|
Ausgabe: | 5. ed. |
Schriftenreihe: | The VNR series in accounting and finance
|
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | XIII, 739 S. graph. Darst. |
ISBN: | 0412374706 |
Internformat
MARC
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Datensatz im Suchindex
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adam_text | CONTENTS
1 The financial environment 1
1.1 Introduction 2
1.2 Objectives of the company 2
1.3 The shareholders 4
1.4 The relationship between the company management and
shareholders 6
1.5 The capital market 7
1.6 Conclusions 12
1.7 Key terms 14
1.8 Revision exercises 14
1.9 References 14
1.10 Further reading 14
1.11 Problems 14
2 Flow of funds and taxation 16
2.1 The flow of funds 17
2.2 The personal sector 21
2.3 The business sector 22
2.4 The public sector 25
2.5 Taxation policy 27
2.6 Corporation tax 29
2.7 Capital allowances 30
2.8 Small company taxation 31
2.9 Capital gains tax 32
2.10 Taxation and inflation 33
2.11 Taxation and decision-making 35
2.12 Key terms 35
2.13 Further reading 36
2.14 Problems 36
3 Finance and accounting 37
3.1 Introduction 38
3.2 Accounting policies 39
3.3 Cash flow versus accrual accounting 45
3.4 Financial ratios 47
3.5 The use of ratios to forecast company failure 60
3.6 Conclusions 62
3.7 Key terms 62
3.8 Revision exercises 62
3.9 References 62
3.10 Further reading 63
3.11 Problems 63
vi CONTENTS
4 Investment appraisal: basic methods 67
4.1 Introduction 69
4.2 Compound interest 69
4.3 Discounting and present values 70
4.4 The net present value decision rule 71
4.5 Net terminal value 73
4.6 Yield 73
4.7 The multiple-yield problem 76
4.8 Comparing alternative investments 78
4.9 Interest rate changes and discounted cash flow 80
4.10 Differential interest rates for borrowing and lending 81
4.11 Theoretical justification for net present value 82
4.12 The separation theorem 84
4.13 Conclusions 85
4.14 Key concepts 85
4.15 Revision exercises 86
4.16 References 87
4.17 Further reading 87
4.18 Problems 87
5 Investment appraisal: further topics 89
5.1 Annuities 91
5.2 Perpetuities 91
5.3 Yield to maturity 93
5.4 Sinking funds 94
5.5 Annual equivalent annuities 95
5.6 Repair or replace 95
5.7 Make or buy 98
5.8 Discounted cash flow and tax payments 99
5.9 Inflation 101
5.10 Key concepts 102
5.11 Revision exercises 103
5.12 References 103
5.13 Further reading 103
5.14 Problems IO3
6 Capital rationing and risk analysis in imperfect markets 105
6.1 Introduction IO7
6.2 Capital rationing overview IO7
6.3 Single-constraint problems 108
6.4 Multi-constraint problems H3
6.5 Financial planning models Hg
6.6 Risk overview 12q
6.7 The payback period 12Q
6.8 Return on capital 123
6.9 Risk premiums 123
6.10 Sensitivity analysis 124
6.11 Simulation 128
6.12 Single-investment risk analysis 131
CONTENTS vii
6.13 Multiple-investment risk analysis 137
6.14 Mean-variance analysis 141
6.15 Other considerations 143
6.16 Key concepts 143
6.17 Revision exercises 144
6.18 References 145
6.19 Further reading 145
6.20 Problems 145
7 Corporate strategy and high technology investments 153
7.1 Introduction 155
7.2 Strategic planning 155
7.3 Models of strategic management 156
7.4 Profit impact of market strategy 158
7.5 The advanced manufacturing technology investment decision 159
7.6 Advanced manufacturing technology investment: payback and
present values 160
7.7 Discount rates and time horizons 162
7.8 Relevant costs and revenues 164
7.9 The recommended advanced manufacturing technology
appraisal methodology 167
7.10 The decision environment 169
7.11 Key concepts 173
7.12 Revision exercises 174
7.13 References 174
7.14 Further reading 175
7.15 Problems 175
8 Introduction to risk and return 177
8.1 Introduction 178
8.2 Measurement of investor return and risk 178
8.3 Choosing between risky alternatives 182
8.4 Return and risk of combining investments 183
8.5 Summary and conclusions 186
8.6 Key terms 187
8.7 Revision exercises 187
8.8 References 187
8.9 Further reading 188
8.10 Problems 188
9 Portfolio theory and capital asset pricing model 189
9.1 Introduction 190
9.2 Analysis of a two-asset portfolio 190
9.3 Extension to a multi-asset portfolio 193
9.4 Risk-free asset combined with risky securities 195
9.5 Capital asset pricing model 196
9.6 Implications of the capital asset pricing model 199
9.7 Summary and conclusions 200
9.8 Key terms 200
viii CONTENTS
9.9 Revision exercises 200
9.10 References 201
9.11 Further reading 201
9.12 Problems 201
Appendix 203
10 Capital budgeting and the capital asset pricing model 205
10.1 Introduction 206
10.2 Project risk and return 206
10.3 Measuring equity betas and beta books 207
10.4 Ungearing equity betas 214
10.5 Multi-activity companies 215
10.6 Single-company cost of capital and the capital asset pricing
model compared 216
10.7 Realism of the capital asset pricing model 218
10.8 Arbitrage pricing model 220
10.9 Summary and conclusions 221
10.10 Key terms 222
10.11 Revision exercises 222
10.12 References 222
10.13 Further reading 222
10.14 Problems 223
11 Option theory 226
11.1 Introduction 227
11.2 Types of options 227
11.3 Simple option strategies 233
11.4 Call options and futures compared 234
11.5 Factors affecting option values 235
11.6 Binomial valuation formula 237
11.7 Black-Scholes option valuation formula 239
11.8 Application of option pricing theory to corporate finance 240
11.9 Summary and conclusions 241
11.10 Key terms 242
11.11 Revision exercises 242
11.12 References 243
11.13 Further reading 243
11.14 Problems 243
12 Stock market efficiency 245
12.1 Introduction 246
12.2 Efficient market hypothesis 246
12.3 Evidence on the efficient market hypothesis 249
12.4 Insider dealing 258
12.5 Time, seasonal and other market anomalies 259
12.6 Implications of the efficient market hypothesis 262
12.7 Key concepts 269
12.8 Revision exercises 269
12.9 References 269
CONTENTS ix
12.10 Further reading 271
12.11 Problems 271
13 Equity share capital 273
13.1 Types of company 274
13.2 Ordinary shares - 275 A
13.3 The prospectus 278
13.4 The equity market 279
13.5 Methods of raising equity capital 289
13.6 Cost of new issues 291
13.7 Rights issues 293
13.8 Preference shares 303 ^
13.9 Pre-emption rights 307
13.10 Vendor placings 308
13.11 Financial terminology 308
13.12 Pricing new issues 313
13.13 Scrip dividends and scrip issues 317
13.14 Stock splits 317
13.15 Venture capital 318 v
13.16 Key concepts 319
13.17 Revision exercises 319
13.18 References 320
13.19 Further reading 320
13.20 Problems 320
14 Long-term debt finance 326
14.1 Introduction 327
14.2 Debentures 327
14.3 ^Long-term bank and institutional borrowing 329
14.4 Register of charges 331
14.5 Corporate bond market 331
14.6 The value of fixed-interest securities 334
14.7 Bonds: a variety of features 335
14.8 Securitization 337
14.9 Redemption of bonds 339
14.10 Call provision 340
14.11 Special purpose transactions 342
14.12 Long-term versus short-term borrowing yC 345
14.13 Interest rate swaps 348
14.14 Debt-equity swaps 349
14.15 Repayment of loans 349
14.16 Convertible loan stock 353
14.17 Warrants 358
14.18 Key questions 363
14.19 References 363
14.20 Further reading 363
14.21 Problems 364
15 Share price valuation and the cost of capital 369
15.1 Share valuation 370
x CONTENTS
15.2 Dividends and share values 371
15.3 The capital asset pricing model and share values 376
15.4 Valuation based on earnings? 377
15.5 Does it pay to manipulate earnings? 379
15.6 Valuation based on cash flow 382
15.7 The valuation of a company 382
15.8 The cost of equity capital 398
15.9 The cost of debt capital 407
15.10 Overall cost of capital - weighted-average cost approach 409
15.11 Marginal cost of capital 413
15.12 Key questions 415
15.13 References 415
15.14 Further reading 416
15.15 Problems 416
16 Dividend policy 421
16.1 Introduction 422
16.2 Dividend irrelevancy in perfect capital markets 423
16.3 Dividend payments may increase shareholder wealth 425
16.4 Dividend payments may reduce shareholder wealth 427
16.5 Dividend payments and taxation 428
16.6 Practical issues in dividend policy 429
16.7 Share repurchase and scrip dividends 431
16.8 Empirical evidence on dividend payments 433
16.9 Summary and conclusions 435
16.10 Key terms 436
16.11 Revision exercises 436
16.12 References 436
16.13 Further reading 437
16.14 Problems 437
17 Capital structure policy 440
17.1 Introduction 441
17.2 Capital structure implications 441
17.3 Traditional view of capital structure 444
17.4 Capital structure in perfect capital markets 445
17.5 Capital structure and corporate and personal taxes 448
17.6 Capital structure and financial distress 452
17.7 Factors affecting level of debt in practice 454
17.8 Summary and conclusions 455
17.9 Key terms 456
17.10 Revision exercises 456
17.11 References 456
17.12 Further reading 457
17.13 Problems 457
Appendix: Adjusted present value method 464
18 Financial planning 457
18.1 Long-term and medium-term financial planning 468
18.2 Financial modelling 469
CONTENTS xi
18.3 Short-term financial planning 472
18.4 Working capital requirements 474
18.5 From rule of thumb to planning models 476
18.6 The operating cycle 479
18.7 Funds flow statements 482
18.8 Key questions 484
18.9 References 484
18.10 Further reading 485
18.11 Problems 485
19 Short-and medium-term sources of finance 489
19.1 Short-term bank borrowing 491
19.2 Bank overdrafts * 492
19.3 Revolving underwriting facility 494
19.4 Trade credit 495
19.5 Bills of exchange 497
19.6 Acceptance credits 497
19.7 Factoring 498
19.8 Invoice discounting and credit insurance 500
19.9 Deferred tax payments 500
19.10 Medium-term bank borrowing 501
19.11 Government guaranteed loans 501
19.12 Merchant banks 502
19.13 Export finance 504
19.14 Project finance 507
19.15 Hire purchase 508
19.16 Sale and lease-back * 509
19.17 Mortgaging property 510
19.18 Leasing 511
19.19 British Government sources 521
19.20 European sources 524
19.21 Key questions 526
19.22 Reference 526
19.23 Further reading 526
19.24 Problems 526
20 Management of cash 534
20.1 Treasury management 535
20.2 The collection and payment cycles 536
20.3 Cash transmission techniques 537
20.4 Cash budget 538
20.5 Cash cycle 544
20.6 Cash flow statements 546
20.7 Planning the cash balance 548
20.8 Cash management models 551
Appendix: Cash flow modelling 551
20.9 Key questions 556
20.10 References 556
20.11 Further reading 556
20.12 Problems 556
xii CONTENTS
21 Management of debtors 560
21.1 The problem 561
21.2 Deciding an acceptable level of risk 562
21.3 Investigating the credit applicant 564
21.4 Terms of sale 566
21.5 Policy on the collection of debts 571
21.6 Credit insurance 572
21.7 A technical approach 573
21.8 Concluding remarks 575
21.9 Key questions 575
21.10 References 575
21.11 Further reading 576
21.12 Problems 576
22 Management of inventory 580
22.1 Introduction 582
22.2 The classical model 582
22.3 Variable re-order costs 585
22.4 Cash management model 585
22.5 Lead time 586
22.6 Production runs 587
22.7 Buffer stocks 588
22.8 Optimization with stochastic demand 588
22.9 Service level approach 591
22.10 The service function 594
22.11 Stochastic lead time 595
22.12 Periodic review models 596
22.13 The ABC classification system 598
22.14 Lot size inventory management 599
22.15 Material requirements planning methods and just-in-time
management 599
22.16 Conclusions 601
22.17 Key concepts 602
22.18 Revision exercises 603
22.19 References 603
22.20 Further reading 603
22.21 Problems 604
23 Mergers and acquisitions 607
23.1 Introduction 608
23.2 Merger and takeover activity 609
23.3 Motives for individual mergers 611
23.4 Management motives 617
23.5 Takeover tactics 618
23.6 Financing acquisitions 629
23.7 The results - who wins? 635
23.8 Win at what price? 640
23.9 Key questions 643
23.10 References 643
CONTENTS xiii
23.11 Further reading 644
23.12 Problems 644
24 Company restructuring 652
24.1 Divestment 654
24.2 Sell-off 656
24.3 Spin-off 657
24.4 Management buyout 658
24.5 Going private 662
24.6 Buy-in 663
24.7 Increase the amount of borrowing 664
24.8 Share re-purchase 664
24.9 Reverse takeover 664
24.10 Key questions 665
24.11 References 665
24.12 Further reading 665
24.13 Problems 666
25 International financial management 667
25.1 Foreign exchange markets 669
25.2 Managing transactions exposure 676
25.3 The foreign investment decision 681
25.4 Sources of funds for overseas subsidiaries 684
25.5 Managing risk 692
25.6 The international (global) financial markets 698
25.7 The European Monetary System 710
25.8 Key questions 715
25.9 Further reading 715
25.10 Problems 716
26 Small business finance 720
26.1 Introduction 721
26.2 The small business sector 722
26.3 Financing problems of small firms 723
26.4 The life cycle of a firm 725
26.5 Company failures 727
26.6 Equity finance 729
26.7 Loan finance 735
26.8 Specialist institutions 736
26.9 Conclusions 738
26.10 Revision exercises 738
26.11 References 739
26.12 Further reading 739
26.13 Problems 739
Tables 741
Index 751
|
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ctrlnum | (OCoLC)630796387 (DE-599)BVBBV005292144 |
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spelling | Samuels, John M. Verfasser aut Management of company finance J. M. Samuels ; F. M. Wilkes ; R. E. Brayshaw 5. ed. London [u.a.] Chapman and Hall 1990 XIII, 739 S. graph. Darst. txt rdacontent n rdamedia nc rdacarrier The VNR series in accounting and finance Management (DE-588)4037278-9 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf Finanzierung (DE-588)4017182-6 gnd rswk-swf 1\p (DE-588)4123623-3 Lehrbuch gnd-content Finanzierung (DE-588)4017182-6 s Management (DE-588)4037278-9 s DE-604 Finanzmanagement (DE-588)4139075-1 s 2\p DE-604 Wilkes, Francis M. Verfasser aut Brayshaw, Robin E. Verfasser aut HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=003303762&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis 1\p cgwrk 20201028 DE-101 https://d-nb.info/provenance/plan#cgwrk 2\p cgwrk 20201028 DE-101 https://d-nb.info/provenance/plan#cgwrk |
spellingShingle | Samuels, John M. Wilkes, Francis M. Brayshaw, Robin E. Management of company finance Management (DE-588)4037278-9 gnd Finanzmanagement (DE-588)4139075-1 gnd Finanzierung (DE-588)4017182-6 gnd |
subject_GND | (DE-588)4037278-9 (DE-588)4139075-1 (DE-588)4017182-6 (DE-588)4123623-3 |
title | Management of company finance |
title_auth | Management of company finance |
title_exact_search | Management of company finance |
title_full | Management of company finance J. M. Samuels ; F. M. Wilkes ; R. E. Brayshaw |
title_fullStr | Management of company finance J. M. Samuels ; F. M. Wilkes ; R. E. Brayshaw |
title_full_unstemmed | Management of company finance J. M. Samuels ; F. M. Wilkes ; R. E. Brayshaw |
title_short | Management of company finance |
title_sort | management of company finance |
topic | Management (DE-588)4037278-9 gnd Finanzmanagement (DE-588)4139075-1 gnd Finanzierung (DE-588)4017182-6 gnd |
topic_facet | Management Finanzmanagement Finanzierung Lehrbuch |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=003303762&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT samuelsjohnm managementofcompanyfinance AT wilkesfrancism managementofcompanyfinance AT brayshawrobine managementofcompanyfinance |