Corporate financial management:
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Buch |
Sprache: | English |
Veröffentlicht: |
London
Financial Times [u.a.]
2002
|
Ausgabe: | 2. ed. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | XXI, 1098 S. |
ISBN: | 027365148X |
Internformat
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Datensatz im Suchindex
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---|---|
adam_text | BRIEF CONTENTS
Topics covered in the book xi
Introduction to the book xii
Acknowledgements xix
Parti INTRODUCTION
1 The financial world 3
PartII THE INVESTMENT DECISION
2 Project appraisal: Net present value and internal rate of return 51
Appendix 2.1 Mathematical tools for finance 83
3 Project appraisal: Cash flow and applications 95
4 The decision making process for investment appraisal 135
5 Project appraisal: Capital rationing, taxation and inflation 164
Part III RISK AND RETURN
6 Risk and project appraisal 189
7 Portfolio theory 235
8 The capital asset pricing model and multi factor models 285
Appendix 8.1 Note on arithmetic and geometric means 322
PartIV SOURCES OF FINANCE
9 Stock markets 335
10 Raising equity capital 385
11 Long term debt finance 457
12 Short term and medium term finance 510
13 Treasury and working capital management 551
14 Stock market efficiency 603
ief contents
PartV CORPORATE VALUE
15 Value based management 655
16 Managing a value based company and the cost of capital 695
17 Valuing shares 755
18 Capital structure 801
Appendix 18.1 Asset beta 834
Appendix 18.2 Adjusted present value (APV) 835
19 Dividend policy 845
20 Mergers 868
PartVI MANAGING RISK
21 Derivatives 923
Appendix 21.1 Option pricing 955
22 Managing exchange rate risk 966
APPENDICES
I Future value of £1 at compound interest 1009
II Present value of £1 at compound interest 1010
III Present value of an annuity of £l at compound interest 1011
IV Future value of an annuity of £1 at compound interest 1012
V Areas under the standardised normal distribution 1013
VI Answers to the mathematical tools exercises in
Appendix 2.1 1014
VII Solutions to selected questions and problems 1015
Glossary 1037
Bibliography 1061
Index 1077
CONTENTS
TOPICS COVERED IN THE BOOK xi
INTRODUCTION TO THE BOOK xii
Aims of the book Themes in the book Student
learning features Support for lecturers
ACKNOWLEDGEMENTS xix
Parti INTRODUCTION
1 THE FINANCIAL WORLD 3
Introduction 3
Learning objectives 4
The objective of the firm 4
Case study 1.1 Cadbury Schweppes 4
Ownership and control 16
Primitive and modern economies 19
The role of the financial manager 22
The flow of funds and financial intermediation 25
Growth in the financial services sector 31
The financial system 34
Concluding comments 41
Key points and concepts 42
References and further reading 44
Websites 46
Self review questions 46
Questions and problems 47
Assignments 47
Chapter notes 48
Part II THE INVESTMENT DECISION
2 PROJECT APPRAISAL: NET PRESENT
VALUE AND INTERNAL RATE OF
RETURN 51
Introduction 51
Case study 2.1 Kingfisher 52
Learning objectives 52
Value creation and corporate investment 53
Net present value and internal rate of return 57
Modified internal rate of return 77
Concluding comments 81
Key points and concepts 81
Appendix 2.1 Mathematical tools for finance 83
Case study 2.2 Jacques Chirac s attempt to help
Eurotunnel 85
Exercise 2.1 Mathematical tools exercises 90
References and further reading 91
Self review questions 92
Questions and problems 92
Assignments 93
Chapter note 93
3 PROJECT APPRAISAL: CASH FLOW AND
APPLICATIONS 95
Introduction 95
Case study 3.1 Airbus s Superjumbo 96
Learning objectives 97
Quality of information 97
Are profit calculations useful for estimating
project viability? 98
The replacement decision 110
Replacement cycles 113
When to introduce a new machine 118
Drawbacks of the annual equivalent annuity
method 119
Timing of projects 120
The make or buy decision 121
Fluctuating output 122
Concluding comments 123
Key points and concepts 123
References and further reading 124
Self review questions 125
Questions and problems 126
Assignments 1 M
Chapter note I M
4 THK DECISION MAKING PROCESS FOR
INVESTMENT APPRAISAL HS
Introduction /.??
Case study 4.1 The Noddy and Big Ears project 136
Case study 4.2 Bentley output to rise on £60()m
investment 136
Learning objectives 137
Evidence on the employment of appraisal
techniques 137
Vi Contents
Payback 137
Accounting rate of return 141
Internal rate of return: reasons for continued
popularity 144
The science and the art of investment appraisal
145
The investment process 148
Concluding comments 154
Key points and concepts 155
References and further reading 156
Self review questions 160
Questions and problems 161
Assignment 163
5 PROJECT APPRAISAL: CAPITAL
RATIONING, TAXATION AND
INFLATION 164
Introduction 164
Case study 5.1 The £200 billion gamble 164
Learning objectives 165
Capital rationing 165
Taxation and investment appraisal 170
Inflation 172
Case study 5.2 Eurotunnel s inflation allowance
173
Concluding comments 179
Key points and concepts 179
References and further reading 180
Self review questions 181
Questions and problems 181
Assignments 186
Chapter notes 186
Part Ml RISK AND RETURN
6 RISK AND PROJECT APPRAISAL 189
Case study 6.1 Eurotunnel and Camelot 189
Introduction 190
Learning objectives 190
What is risk? 190
Adjusting for risk through the discount rate 193
Sensitivity analysis 194
Scenario analysis 199
Probability analysis 200
The risk of insolvency 212
Problems of using probability analysis 217
Evidence of risk analysis in practice 218
Case study 6.2 RJB Mining: Risky coalfields 219
t
Concluding comments 224
Key points and concepts 225 !
References and further reading 226 ,
Self review questions 227
Questions and problems 228
Assignments 234
Chapter note 234
7 PORTFOLIO THEORY 235
Introduction 235
Learning objectives 236
Holding period returns 236
Expected returns and standard deviation for shares
238
Combinations of investments 241
Portfolio expected returns and standard deviation
249
Dominance and the efficient frontier 254
Indifference curves 257
Choosing the optimal portfolio 259
The boundaries of diversification 261
Extension to a large number of securities 264
Evidence on the benefits of diversification 266
The capital market line 269
A practical application of portfolio theory 272
Problems with portfolio theory 273
Concluding comments 274
Key points and concepts 275
References and further reading 276
Website 278
Self review questions 2 78
Questions and problems 279
Assignments 284
Chapter notes 284
8 THE CAPITAL ASSET PRICING
MODEL AND MULTI FACTOR
MODELS 285
Introduction 285
Learning objectives 286
Case study 8.1 Pigs might fly 287
A short history of shares, bonds and bills 287
The capital asset pricing model 295
Factor models 311
The arbitrage pricing theory 314
The three factor model 315
An alternative approach to the risk return
relationship 316
Project appraisal and systematic risk 317
Sceptics s views Alternative perspectives of risk 319
Concluding comments 321
Appendix 8.1 Note on arithmetic and geometric
means 322
Key points and concepts 324
References and further reading 325
Self review questions 328
Questions and problems 328
Assignments 330
Chapter notes 331
Part IV SOURCES OF FINANCE
9 STOCK MARKETS 335
Case study 9.1 Oxford BioMedica 335
Introduction 335
Learning objectives 336
Stock exchanges around the world 336
Globalisation of financial flows 346
The importance of a well run stock exchange 350
The London Stock Exchange 353
The UK equity markets available to companies 358
Tasks for stock exchanges 364
Trading systems 364
The ownership of UK quoted shares 372
Regulation 370
Understanding the figures in the financial pages 375
Taxation and corporate finance 379
Concluding comments 379
Key points and concepts 380
References and further reading 382
Websites 383
Self review questions 383
Questions and problems 384
Assignments 384
Chapter notes 384
10 RAISING EQUITY CAPITAL 385
Case study 10.1 To float or not to float? 385
Introduction 386
Learning objectives 387
What is equity capital? 387
Preference shares 390
Some unusual types of shares 392
Floating on the Official List 393
Methods of issue 399
Timetable for a new offer 404
How does an AIM flotation differ from one on the
Official List? 408
Contents vii
The costs of new issues 410
Rights issues 413
Other equity issues 419
Scrip issues 422
Warrants 423
Equity finance for unquoted firms 423
Case study 10.2 Confidence reaps a rich reward
426
Disillusionment and dissatisfaction with quotation
435
Concluding comments 436
Key points and concepts 436
References and further reading 439
Websites 440
Appendix 10.1 Reasons for and against floating 441
Self review questions 453
Questions and problems 454
Assignment 456
Chapter notes 456
11 LONG TERM DEBT FINANCE 457
Introduction 457
Learning objectives 457
Some fundamental features of debt finance 458
Bonds 459
Bank borrowing 463
Syndicated loans 466
Credit rating 467
Mezzanine debt and high yield (junk) bonds 471
Case study 11.1 The junk bond wizard: Michael
Milken 471
Convertible bonds 475
Case study 11.2 Greenhills 476
Case study 11.3 BPB Industries pic 477
Valuing bonds 478
International sources of debt finance 482
Project finance 490
Sale and leaseback 492
Securitisation 494
The term structure of interest rates 49 s
Eurotunnel 00
Concluding comments 501
Key points and concepts 502
References and further reading 504
Websites 505
Self review questions 505
Questions and problems 506
Assignments 509
Chapter notes 509
i Contents
12 SHORT TERM AND MEDIUM TERM
FINANCE 510
Introduction 510
Learning objectives 511
Bank sources 511
Trade credit 514
Trade debtor management 520
Factoring 524
Hire purchase 529
Leasing 532
Bills of exchange 539
Acceptance credits (or bank bills or banker s
acceptance) 540
Concluding comments 541
Key points and concepts 544
References and further reading 545
Websites 546
Self review questions 546
Questions and problems 547
Assignments 550
Chapter note 550
13 TREASURY AND WORKING
CAPITAL MANAGEMENT 551
Introduction 551
Learning objectives 552
Case study 13.1 Treasury policy at Kingfisher 555
Financing 556
Case study 13.2 Philips goes for relationship
banking 564
Risk management 564
Working capital management 568
Investment of temporary surplus funds 589
Concluding comments 592
Key points and concepts 593
References and further reading 595
Websites 596
Self review questions 596
Questions and problems 597
Assignments 602
Chapter notes 602
14 STOCK MARKET EFFICIENCY 603
Introduction 603
Learning objectives 604
What is meant by efficiency? 604
Random walks 608
The three levels of efficiency 620
Weak form tests 610
1
Semi strong form tests 615
Strong form tests 631
Behavioural finance 633 ,
Misconceptions about the efficient market ~
hypothesis 638
Implications of the EMH for investors 639
Implications of the EMH for companies 640
Concluding comments 641
Key points and concepts 642
References and further reading 643
Self review questions 649
Questions and problems 650
Assignment 652
Chapter notes 652
PartV CORPORATE VALUE
15 VALUE BASED MANAGEMENT 655
Introduction 655
Learning objectives 658
Value creation and value destruction 658
Earnings based management 663
How a business creates value 669
Measuring value creation: External metrics 677
Concluding comments 685
Key points and concepts 685
References and further reading 688
Self review questions 690
Questions and problems 690
Assignments 693
Chapter notes 693
16 MANAGING A VALUE BASED
COMPANY AND THE COST OF
CAPITAL 695
Introduction 695
Learning objectives 695
An overview of the application of the value
principles 696
Case study 16.1 Strategy, planning and budgeting
at Lloyds TSB 710
Measuring value creation: internal metrics 710
Case study 16.2 The use of economic profit is
becoming more widespread 721
The cost of capital 725
Empirical evidence of corporate practice 735
Implementation issues 738
Fundamental beta 741
Some thoughts on the costs of capital 741
Concluding comments 742
Key points and concepts 743
References and further reading 746
Self review questions 749
Questions and problems 749
Assignments 753
Chapter notes 753
17 VALUING SHARES 755
Introduction 755
Learning objectives 755
Case study 17.1 Amazon.com and Orange 756
Valuation using net asset value (NAV) 757
Valuation using income flow methods 760
The dividend valuation models 760
Price earnings ratio (PER) model 771
Valuation using cash flow 776
Valuation using owner earnings 780
Valuing unquoted shares 781
Unusual companies 782
Managerial control and valuation 784
Concluding comments 789
Key points and concepts 789
References and further reading 792
Self review questions 792
Questions and problems 793
Assignments 800
Chapter notes 800
18 CAPITAL STRUCTURE 801
Introduction 801
Learning objectives 802
Case study 18.1 The balance between debt and
ordinary share capital 803
What do we mean by gearing ? 804
The effect of gearing 809
The value of the firm and the cost of capital 814
Does the cost of capital (WACC) decrease with
higher debt levels? 815
Modigliani and Miller s argument in a world with
no taxes 816
The capital structure decision in a world with
tax 820
Additional considerations 822
Some further thoughts on debt finance 829
Concluding comments 832
Appendix 18.1 Asset beta 834
Appendix 18.2 Adjusted present value (APV) 835
Key points and concepts 837
Contents IX
References and further reading 839
Self review questions 840
Questions and problems 841
Assignments 844
Chapter notes 844
19 DIVIDEND POLICY 845
Introduction 845
Learning objectives 846
Defining the problem 846
Modigliani and Miller s dividend irrelevancy
proposition 847
Dividends as a residual 849
Clientele effects 851
Taxation 852
Dividends as conveyors of information 852
Resolution of uncertainty 854
Owner control (agency theory) 855
Scrip dividends 856
Share buy backs and special dividends 856
A round up of the arguments 858
Concluding comments 860
Key points and concepts 861
References and further reading 862
Self review questions 863
Questions and problems 863
Assignments 866
Chapter notes 867
20 MERGERS 868
Introduction 868
Learning objectives 868
The merger decision 869
Definitions and semantics 869
Merger statistics 870
Merger motives 872
Case study 20.1 Economies of scale in oil 876
Financing mergers 884
The merger process 889
The impact of mergers 896
Managing mergers 900
Concluding comments 9/0
Key points and concepts 9/0
References and further reading 913
Websites 915
Self review questions 915
Questions and problems 916
Assignment 918
Chapter notes 919
( Contents
Part VI MANAGING RISK
21 DERIVATIVES 923
Introduction 923
Learning objectives 924
A long history 924
Options 924
Forwards 936
Futures 937
Forward rate agreements (FRAs) 947
Caps 949
Swaps 950
Derivatives users 952
Concluding comments 955
Appendix 21.1 Option pricing 955
Key points and concepts 957
References and further reading 959
Websites 960
Self review questions 960
Questions and problems 961
Assignments 965
Chapter notes 965
22 MANAGING EXCHANGE RATE
RISK 966
Introduction 966
Case study 22.1 What a difference a few percentage
point moves on the exchange rate make 966
Learning objectives 967
The effects of exchange rate changes 967
Volatility in foreign exchange 968
The foreign exchange markets 970
Exchange rates 973
Types of foreign exchange risk 979
Transaction risk hedging strategies 981
Managing translation risk 989
Managing economic risk 992
Exchange rate determination 994
Concluding comments 999
Key points and concepts 999
References and further reading 1001
Websites 1001
Self review questions 1002
Questions and problems 1002
Assignments 1005
Chapter notes 1005
APPENDICES
I Future value of £l at compound interest 1009
II Present value of £l at compound interest 1010
III Present value of an annuity of £1 at compound
interest 1011
IV The future value of an annuity of £1 at
compound interest 1012
V Areas under the standardised normal
distribution 1013
VI Answers to the mathematical tools exercises in
Appendix 2.1 1014
VII Solutions to selected questions and problems
1015
GLOSSARY 1037
BIBLIOGRAPHY 1061
INDEX 1077
|
any_adam_object | 1 |
author | Arnold, Glen |
author_facet | Arnold, Glen |
author_role | aut |
author_sort | Arnold, Glen |
author_variant | g a ga |
building | Verbundindex |
bvnumber | BV014213456 |
classification_rvk | QP 700 |
ctrlnum | (OCoLC)248773061 (DE-599)BVBBV014213456 |
dewey-full | 658.15 |
dewey-hundreds | 600 - Technology (Applied sciences) |
dewey-ones | 658 - General management |
dewey-raw | 658.15 |
dewey-search | 658.15 |
dewey-sort | 3658.15 |
dewey-tens | 650 - Management and auxiliary services |
discipline | Wirtschaftswissenschaften |
edition | 2. ed. |
format | Book |
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oclc_num | 248773061 |
open_access_boolean | |
owner | DE-858 DE-11 DE-2070s DE-188 |
owner_facet | DE-858 DE-11 DE-2070s DE-188 |
physical | XXI, 1098 S. |
publishDate | 2002 |
publishDateSearch | 2002 |
publishDateSort | 2002 |
publisher | Financial Times [u.a.] |
record_format | marc |
spelling | Arnold, Glen Verfasser aut Corporate financial management Glen Arnold 2. ed. London Financial Times [u.a.] 2002 XXI, 1098 S. txt rdacontent n rdamedia nc rdacarrier Corporations Finance Corporations Finance Management Finanzierung (DE-588)4017182-6 gnd rswk-swf Corporate Finance (DE-588)4269795-5 gnd rswk-swf Unternehmen (DE-588)4061963-1 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf 1\p (DE-588)4123623-3 Lehrbuch gnd-content Unternehmen (DE-588)4061963-1 s Corporate Finance (DE-588)4269795-5 s Finanzierung (DE-588)4017182-6 s Finanzmanagement (DE-588)4139075-1 s 2\p DE-604 DE-188 HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=009745371&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 | Arnold, Glen Corporate financial management Corporations Finance Corporations Finance Management Finanzierung (DE-588)4017182-6 gnd Corporate Finance (DE-588)4269795-5 gnd Unternehmen (DE-588)4061963-1 gnd Finanzmanagement (DE-588)4139075-1 gnd |
subject_GND | (DE-588)4017182-6 (DE-588)4269795-5 (DE-588)4061963-1 (DE-588)4139075-1 (DE-588)4123623-3 |
title | Corporate financial management |
title_auth | Corporate financial management |
title_exact_search | Corporate financial management |
title_full | Corporate financial management Glen Arnold |
title_fullStr | Corporate financial management Glen Arnold |
title_full_unstemmed | Corporate financial management Glen Arnold |
title_short | Corporate financial management |
title_sort | corporate financial management |
topic | Corporations Finance Corporations Finance Management Finanzierung (DE-588)4017182-6 gnd Corporate Finance (DE-588)4269795-5 gnd Unternehmen (DE-588)4061963-1 gnd Finanzmanagement (DE-588)4139075-1 gnd |
topic_facet | Corporations Finance Corporations Finance Management Finanzierung Corporate Finance Unternehmen Finanzmanagement Lehrbuch |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=009745371&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT arnoldglen corporatefinancialmanagement |