Financial management and policy:
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Upper Saddle River, NJ
Prentice Hall
1998
|
Ausgabe: | 11. ed. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | XIX, 780 S. graph. Darst. 1 Beiblatt |
ISBN: | 0137512236 |
Internformat
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245 | 1 | 0 | |a Financial management and policy |c James C. Van Horne |
250 | |a 11. ed. | ||
264 | 1 | |a Upper Saddle River, NJ |b Prentice Hall |c 1998 | |
300 | |a XIX, 780 S. |b graph. Darst. |e 1 Beiblatt | ||
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Datensatz im Suchindex
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adam_text | Brief Contents
PARTI
FOUNDATIONS OF FINANCE 1
¦ Vignette: Coca Cola, The Most Admired Corporation 1
CHAPTER 1 Goals and Functions of Finance 3
CHAPTER 2 Concepts in Valuation 9
CHAPTER 3 Market Risk and Returns 49
CHAPTER 4 Multivariable and Factor Valuation 85
CHAPTER 5 Option Valuation 103
PART II
INVESTMENT IN ASSETS AND REQUIRED RETURNS 129
¦ Case: Fazio Pump Corporation 129
CHAPTER 6 Principles of Capital Investment 133
CHAPTER 7 Risk and Real Options in Capital Budgeting 165
CHAPTER 8 Creating Value through Required Returns 199
PART III
FINANCING AND DIVIDEND POLICIES 249
¦ Vignette: Boeing Company 249
CHAPTER 9 Theory of Capital Structure 251
CHAPTER 10 Making Capital Structure Decisions 285
CHAPTER 11 Dividend Policy: Theory and Practice 305
VI Brief Contents
PART IV
LIQUIDITY AND WORKING CAPITAL MANAGEMENT 339
¦ Case: Flores Distributors, Inc. 339
CHAPTER 12 Liquidity, Cash, and Marketable Securities 343
CHAPTER 13 Management of Accounts Receivable and Inventories 361
CHAPTER 14 Short Term Financing 395
CHAPTER 15 Secured Loans and Term Financing 417
PARTV
CAPITAL MARKET FINANCING AND RISK MANAGEMENT 439
¦ Case: Dougall Gilligan Global Agency 439
CHAPTER 16 Foundations for Longer Term Financing 447
CHAPTER 17 Lease Financing 467
CHAPTER 18 Issuing Securities 489
CHAPTER 19 Fixed Income Financing and Pension Liability 509
CHAPTER 20 Option Financing: Warrants, Convertibles,
and Exchangeables 537
CHAPTER 21 Managing Financial Risk 561
PART VI
EXPANSION AND RESTRUCTURING 587
¦ Case: Marriott Restructuring 587
CHAPTER 22 Mergers and the Market for Corporate Control 591
CHAPTER 23 Corporate and Distress Restructuring 621
CHAPTER 24 International Financial Management 649
PART VII
TOOLS OF FINANCIAL ANALYSIS AND CONTROL 689
¦ Vignette: New York Times Company s New CFO 689
CHAPTER 25 Financial Ratio Analysis 691
CHAPTER 26 Financial Planning 727
APPENDIX: Present Value Tables and Normal Probability Distribution Table 761
Contents
Preface xvii
PARTI
FOUNDATIONS OF FINANCE 1
¦ Vignette: Coca Cola, The Most Admired Corporation 1
1 Goals and Functions of Finance 3
Creation of Value 3
Investment Decision 6
Financing Decision 6
Dividend Decision 7
Financial Management 7
Questions 8
Selected References 8
2 Concepts in Valuation 9
The Time Value of Money 9
Present Values 14
Internal Rate of Return or Yield 19
Bond Returns 21
Return from a Stock Investment 25
Dividend Discount Models 28
Measuring Risk: Standard Deviation 35
Summary 38
Appendix: Using a Calculator to Solve Equations 39
Self Correction Problems 40
Problems 41
Solutions to Self Correction Problems 44
Selected References 47
Viii Contents
3 Market Risk and Returns 49
Efficient Financial Markets 49
Security Portfolios 51
Multiple Security Portfolio Analysis and Selection 57
Capital Asset Pricing Model 62
Expected Return for Individual Security 68
Certain Issues with the CAPM 72
Summary 76
Self Correction Problems 77
Problems 77
Solutions to Self Correction Problems 82
Selected References 82
4 Multivariable and Factor Valuation 85
Extended CAPM 85
Factor Models in General 91
Arbitrage Pricing Theory 93
Summary 97
Self Correction Problems 97
Problems 98
Solutions to Self Correction Problems 100
Selected References 101
5 Option Valuation 103
Expiration Date Value of an Option 103
Valuation with One Period to Expiration:
General Consideration 104
Binomial Option Pricing of a Hedged Position 109
The Black Scholes Option Model 112
American Options 118
Debt and Other Options 121
Summary 121
Appendix: Put Call Parity 122
Self Correction Problems 123
Problems 124
Appendix Problem 126
Solutions to Self Correction Problems 126
Selected References 128
PART II
INVESTMENT IN ASSETS AND REQUIRED RETURNS 129
¦Case: Fazio Pump Corporation 129
6 Principles of Capital Invest went 133
Administrative Framework 133
Methods for Evaluation 138
NPV Versus IRR 143
Depreciation and Other Refinements in
Cash Flow Information 146
What Happens when Capital is Rationed? 148
Inflation and Capital Budgeting 150
Information to Analyze an Acquisition 152
Summary 154
Appendix: Multiple Internal Rates of Return 155
Self Correction Problems 157
Problems 158
Solutions to Self Correction Problems 161
Selected References 163
/ Risk and Real Options in Capital Budgeting 765
Quantifying Risk and its Appraisal 165
Total Risk for Multiple Investments 174
Real Options in Capital Investments 177
Summary 188
Self Correction Problems 188
Problems 190
Solutions to Self Correction Problems 195
Selected References 197
8 Creating Value through Required Returns 199
Foundations of Value Creation 199
Required Market Based Return for a Single Project 201
Modification for Leverage 205
Weighted Average Required Return 207
Adjusted Present Value 213
Divisional Required Returns 216
Company s Overall Cost of Capital 220
Diversification of Assets and Total Risk Analysis 222
Evaluation of Acquisitions 226
Summary 230
Self Correction Problems 231
Problems 232
Solutions to Self Correction Problems 237
Selected References 240
¦ Case: National Foods Corporation 241
X Contents
PART III
FINANCING AND DIVIDEND POLICIES 249
¦ Vignette: Boeing Company 249
if Theory of Capital Structure 251
Introduction to the Theory 251
Modigliani Miller Position 255
Taxes and Capital Structure 259
Effect of Bankruptcy Costs 266
Other Imperfections 268
Incentive Issues and Agency Costs 269
Financial Signaling 275
Summary 276
Self Correction Problems 277
Problems 278
Solutions to Self Correction Problems 282
Selected References 284
10 Making Capital Structure Decisions 285
EBIT EPS Analysis 285
Cash Flow Ability to Service Debt 288
Effect on Debt Ratios 292
Effect on Security Rating 292
Timing and Flexibility 293
A Pecking Order of Financing? 294
Checklist when it Comes to Financing 295
Summary 296
Self Correction Problems 297
Problems 298
Solutions to Self Correction Problems 300
Selected References 303
11 Dividend Policy: Theory and Practice 305
Procedural Aspects of Paying Dividends 305
Dividend Payout Irrelevance 306
Arguments for Dividend Payout Mattering 309
Financial Signaling 312
Empirical Testing and Implications for Payout 313
Share Repurchase 315
Stock Dividends and Stock Splits 319
Managerial Considerations as to Dividend Policy 323
Summary 327
Self Correction Problems 328
Problems 330
Solutions to Self Correction Problems 333
Selected References 336
PART IV
LIQUIDITY AND WORKING CAPITAL MANAGEMENT 339
¦ Case: Flores Distributors, Inc. 339
12. Liquidity, Cash, and Marketable Securities 343
Liquidity and its Role 343
Cash Management and Collections 345
Investment in Marketable Securities 349
Summary 355
Self Correction Problems 356
Problems 357
Solutions to Self Correction Problems 359
Selected References 360
13 Management of Accounts Receivable and Inventories 361
Credit Policies 361
Collection Policy 367
Evaluating the Credit Applicant 371
Inventory Management and Control 376
Uncertainty and Safety Stock 379
Inventory and the Financial Manager 382
Summary 384
Appendix: Application of Discriminant Analysis
to the Selection of Accounts 384
Self Correction Problems 387
Problems 389
Solutions to Self Correction Problems 392
Selected References 394
14 Short Term Financing 395
Liability Structure of a Company 395
Trade Credit Financing 400
Accrual Accounts as Spontaneous Financing 404
Money Market Credit 405
Short Term Loans 407
Summary 410
XXX Contents
Self Correction Problems 411
Problems 412
Solutions to Self Correction Problems 414
Selected References 415
±5 Secured Loans and Term Financing 417
Secured Lending Arrangements 417
Intermediate Term Debt 424
Protective Covenants and Loan Agreements 428
Summary 432
Self Correction Problems 432
Problems 433
Solutions to Self Correction Problems 436
Selected References 437
PART V
CAPITAL MARKET FINANCING AND RISK MANAGEMENT 439
¦ Case: Dougall Gilligan Global Agency 439
±O Foundations for Longer Term Financing 447
Purpose of Financial Markets 447
Inflation and Expected Returns 451
Inflation and Nominal Contracting Effects 453
Yield Curves and Their Use 455
Pricing Default Risk Off Treasuries 459
Summary 462
Self Correction Problems 462
Problems 463
Solutions to Self Correction Problems 465
Selected References 465
Li Lease Financing 467
Features of a Lease 467
Accounting and Tax Treatments of Leases 469
Return to the Lessor 471
After Tax Analyses of Lease Versus Buy/Borrow 473
Sources of Value in Leasing 479
Summary 482
Self Correction Problems 483
Problems 484
Solutions to Self Correction Problems 485
Selected References 487
±8 Issuing Securities 489
Public Offering of Securities 489
Government Regulations 492
Selling Common Stock through a Rights Issue 493
Initial Financing 499
Information Effects 502
Summary 504
Self Correction Problems 505
Problems 505
Solutions to Self Correction Problems 507
Selected References 508
±y Fixed Income Financing and Pension Liability 509
Features of Debt 509
Types of Debt Financing 512
Call Feature and Refunding 515
Private Placements 522
Preferred Stock 523
Pension Fund Liability 526
Summary 529
Self Correction Problems 530
Problems 531
Solutions to Self Correction Problems 533
Selected References 534
20 Option Financing: Warrants, Convertibles,
and Exchangeables 537
Use of Warrants 537
Convertible Securities 540
Valuation of Convertible Securities 545
Exchangeable Debt 549
Summary 550
Appendix: Valuing Convertible Bonds in the Face of Firm Volatility,
Default Risks, and Fluctuating Interest Rates 551
Self Correction Problems 554
Problems 555
Solutions to Self Correction Problems 558
Selected References 559
XW Contents
21 Managing Financial Risk 561
Derivative Securities 561
Hedging Risk 562
Futures Markets 564
Forward Contracts 568
Option Contracts 570
Interest Rate Swaps 575
Currency Contracts 580
Commodity Contracts 580
Summary 581
Self Correction Problems 582
Problems 583
Solutions to Self Correction Problems 584
Selected References 585
PART VI
EXPANSION AND RESTRUCTURING 587
¦ Case: Marriott Restructuring 587
22 Mergers and the Market for Corporate Control 591
Features of a Merger 592
Strategic Acquisitions Involving Stock 594
Sources or Rearrangements of Value 599
Corporate Voting and Control 602
Tender Offers and Company Resistance 605
Empirical Evidence on Mergers and Takeovers 608
Summary 611
Self Correction Problems 612
Problems 613
Solutions to Self Correction Problems 616
Selected References 618
23 Corporate and Distress Restructuring 621
Divestitures in General 621
Voluntary Liquidation and Sell Offs 623
Spin Offs 623
Equity Carve Outs 624
Going Private and Leveraged Buyouts 626
Leveraged Recapitalizations 630
Distress Restructuring 631
Gaming with the Rule of Absolute Priority 636
Summary 638
Self Correction Problems 639
Problems 641
Solutions to Self Correction Problems 644
Selected References 645
24: International Financial Management 649
Some Background 649
Types of Exposure 654
Economic Exposure 655
Management of Exposure 657
Currency Market Hedges 662
Should Exposure be Managed? 667
Macro Factors Governing Exchange Rate Behavior 668
Structuring International Trade Transactions 674
Summary 677
Appendix: Translation Exposure 678
Self Correction Problems 681
Problems 683
Solutions to Self Correction Problems 685
Selected References 687
PART VII
TOOLS OF FINANCIAL ANALYSIS AND CONTROL 689
¦ Vignette: New York Times Company s New CFO 689
25 Financial Ratio Analysis 691
Introduction to Financial Analysis 691
Liquidity Ratios 693
Debt Ratios 699
Coverage Ratios 700
Profitability Ratios 702
Market Value Ratios 705
Predictive Power of Financial Ratios 706
Common Size and Index Analyses 708
Summary 712
Self Correction Problems 713
Problems 715
Solutions to Self Correction Problems 721
Selected References 724
¦ Case: Financial Ratios and Industries 724
XV i Contents
2t) Financial Planning 727
Methods of Analysis 727
Source and Use of Funds 728
Cash Budgeting 734
Pro Forma Statements 739
Sustainable Growth Modeling 743
Summary 751
Self Correction Problems 751
Problems 753
Solutions to Self Correction Problems 758
Selected References 760
Appendix: Present Value Tables and Normal
Probabilty Distribution Table 761
Index 770
|
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institution | BVB |
isbn | 0137512236 |
language | English |
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physical | XIX, 780 S. graph. Darst. 1 Beiblatt |
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spelling | Van Horne, James C. 1935- Verfasser (DE-588)128399015 aut Financial management and policy James C. Van Horne 11. ed. Upper Saddle River, NJ Prentice Hall 1998 XIX, 780 S. graph. Darst. 1 Beiblatt txt rdacontent n rdamedia nc rdacarrier Financieel management gtt Corporations Finance Finanzierung (DE-588)4017182-6 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 s DE-604 Finanzierung (DE-588)4017182-6 s 1\p DE-604 HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=007888810&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 |
spellingShingle | Van Horne, James C. 1935- Financial management and policy Financieel management gtt Corporations Finance Finanzierung (DE-588)4017182-6 gnd Finanzmanagement (DE-588)4139075-1 gnd |
subject_GND | (DE-588)4017182-6 (DE-588)4139075-1 |
title | Financial management and policy |
title_auth | Financial management and policy |
title_exact_search | Financial management and policy |
title_full | Financial management and policy James C. Van Horne |
title_fullStr | Financial management and policy James C. Van Horne |
title_full_unstemmed | Financial management and policy James C. Van Horne |
title_short | Financial management and policy |
title_sort | financial management and policy |
topic | Financieel management gtt Corporations Finance Finanzierung (DE-588)4017182-6 gnd Finanzmanagement (DE-588)4139075-1 gnd |
topic_facet | Financieel management Corporations Finance Finanzierung Finanzmanagement |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=007888810&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
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