Corporate financial management:
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Harlow [u.a.]
Financial Times/Prentice Hall
2005
|
Ausgabe: | 3. ed. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | getr. Zählung Ill., graph. Darst. |
ISBN: | 0273687263 |
Internformat
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Datensatz im Suchindex
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adam_text | Topics covered in the book Xxi
Introduction to the book Xxii
Acknowledgements Xxxiii
Part I Introduction 2
1 The financial world 4
Part II The investment decision 58
2 Project appraisal: Net present value and internal rate of return 60
3 Project appraisal: Cash flow and applications 108
4 The decision making process for investment appraisal 152
5 Project appraisal: Capital rationing, taxation and inflation 184
Part III Risk and return 210
6 Risk and project appraisal 212
7 Portfolio theory 274
8 The capital asset pricing model and multi factor models 328
Part IV Sources of finance 382
9 Stock markets 384
10 Raising equity capital 434
11 Long term debt finance 512
12 Short term and medium term finance 574
13 Treasury and working capital management 622
14 Stock market efficiency 682
Part V Corporate value 746
15 Value management 748
16 Strategy and value 784
17 Value creation metrics 812
18 Entire firm value measurement 850
19 The cost of capital 870
vi Brief contents
20 Valuing shares 906
21 Capital structure 956
22 Dividend policy 1008
23 Mergers 1038
Part VI Managing risk 1102
24 Derivatives 1104
25 Managing exchange rate risk 1156
Appendices a:i
I Future value of £1 at compound interest A:2
II Present value of £1 at compound interest A:3
III Present value of an annuity of £1 at compound interest A:4
IV The future value of an annuity of £1 at compound interest A:5
V Areas under the standardised normal distribution A:6
VI Answers to the mathematical tools exercises in Chapter 2, Appendix 2.1 A:7
VII Solutions to selected questions and problems A:8
Glossary G:1
Bibliography B:1
Index 1:1
Topics covered in the book xxi
Introduction to the book Xxii
Acknowledgements xxxiii
Part I Introduction 2
1 The financial world 4
Learning outcomes 5
Introduction (,
The objective of the firm 6
Case study 1.1 Cadbury Schweppes 7
Ownership and control 22
What happens if control over directors is weak? 24
Primitive and modern economies 25
The role of the financial manager 28
The flow of funds and financial intermediation 31
Growth in the financial services sector 37
The financial system 42
Concluding comments 47
Key points and concepts 48
References and further reading 50
Websites 53
Self review questions 54
Questions and problems 55
Assignments 55
Chapter notes 56
Part II The investment decision 58
2 Project appraisal: net present value and internal rate of return 60
Learning outcomes 61
Introduction 62
Value creation and corporate investment 63
Net present value and internal rate of return 68
Modified internal rate of return 88
Concluding comments 92
Contents
Appendix 2.1 Mathematical tools for finance 93
Case study 2.1 Jacques Chirac s attempt to help Eurotunnel 97
Mathematical tools exercises 102
References and further reading 103
Self review questions 104
Questions and problems 104
Assignments 107
Chapter note 107
3 Project appraisal: cash flow and applications 108
Learning outcomes 109
Introduction 110
Case study 3.1 Airbus s Superjumbo 110
Quality of information 112
Are profit calculations useful for estimating project viability? 112
The replacement decision 125
Replacement cycles 128
When to introduce a new machine 133
Drawbacks of the annual equivalent annuity method 135
Timing of projects 135
The make or buy decision 136
Fluctuating output 138
Concluding comments 139
Key points and concepts 140
References and further reading 140
Self review questions 142
Questions and problems 143
Assignments 151
Chapter notes 151
4 The decision making process for investment appraisal 152
Learning outcomes 153
Introduction 154
Case study 4.1 Bentley output to rise on £600m investment 154
Evidence on the employment of appraisal techniques 155
Payback 256
Accounting rate of return 160
Internal rate of return: reasons for continued popularity 162
The science and the art of investment appraisal 163
The investment process 67
Concluding comments jf 74
Key points and concepts 174
References and further reading 175
Self review questions }gi
i
I
j Contents ix
Questions and problems 181
Assignments 183
5 Project appraisal: capital rationing, taxation and inflation 184
Learning outcomes 185
Introduction 186
Capital rationing 186
Taxation and investment appraisal 191
Inflation 194
Case study 5.1 Eurotunnel s inflation allowance 195
Concluding comments 200
Key points and concepts 201
References and further reading 202
Self review questions 203
Questions and problems 203
Assignments 208
Chapter notes 209
Part III Risk and return 210
6 Risk and project appraisal 212
Learning outcomes 213
Case study 6.1 Two risky ventures ... 214
Introduction 214
What is risk? 215
Adjusting for risk through the discount rate 217
Sensitivity analysis 218
Scenario analysis 223
Probability analysis 225
The risk of insolvency 23 7
Problems of using probability analysis 243
Evidence of risk analysis in practice 244
Real options 245
Case study 6.2 RJB Mining: risky coalfields 255
Concluding comments 261
Key points and concepts 261
References and further reading 263
Self review questions 265
Questions and problems 265
Assignments 272
Chapter notes 272
Contents
7 Portfolio theory 274
Learning outcomes 275
Introduction 276
Holding period returns 276
Expected return and standard deviation for shares 278
Combinations of investments 281
Portfolio expected return and standard deviation 290
Dominance and the efficient frontier 295
Indifference curves 298
Choosing the optimal portfolio 300
The boundaries of diversification 302
Extension to a large number of securities 304
Evidence on the benefits of diversification 307
The capital market line 310
A practical application of portfolio theory 313
Problems with portfolio theory 3IS
Concluding comments 316
Key points and concepts 316
References and further reading 318
Self review questions 320
Questions and problems 320
Assignments 326
Chapter notes 326
8 The capital asset pricing model and multi factor models 328
Learning outcomes 329
Introduction 330
A short history of shares, bonds and bills 331
The capital asset pricing model 340
Factor models 358
The arbitrage pricing theory 361
The three factor model 362
An alternative approach to the risk return relationship 363
Project appraisal and systematic risk 364
Sceptics views alternative perspectives on risk 366
Concluding comments 369
Key points and concepts 370
Appendix 8.1 Note on arithmetic and geometric means 372
References and further reading 373
Self review questions 37s j
Questions and problems 378
Assignments 380 j
Chapter notes 380
Contents xi
Part IV Sources of finance 382
9 Stock markets 384
Learning outcomes 385
Case study 9.1 Using the stock market both to create wealth and to
treat disease 386
Introduction 386
Stock exchanges around the world 386
European stock exchanges 392
Globalisation of financial flows 394
Why do companies list their shares on more than one exchange? 396
The importance of a well run stock exchange 401
The London Stock Exchange 404
The UK equity markets available to companies 408
Tasks for stock exchanges 413
Trading systems 414
The ownership of UK quoted shares 420
Regulation 421
Understanding the figures in the financial pages 423
Taxation and corporate finance 426
Concluding comments 427
Key points and concepts 428
References and further reading 430
Websites 430
Self review questions 431
Questions and problems 431
Assignments 432
Chapter notes 433
10 Raising equity capital 434
Learning outcomes 435
Case study 10.1 To float or not to float? 436
Introduction 437
What is equity capital? 437
Preference shares 440
Some unusual types of shares 443
Floating on the Official List 443
Methods of issue 451
Timetable for a new offer 456
How does an AIM flotation differ from one on the Official List? 460
The costs of new issues 461
i Rights issues 465
[ Case study 10.2 Cookson: a very troubled rights issue 468
[ Other equity issues 469
Scrip issues 471
Warrants 473
Contents
Equity finance for unquoted firms 473
Case study 10.3 Expertise that animates an idea 476
Disillusionment and dissatisfaction with quotation 487
Concluding comments 488
Key points and concepts 488
Appendix 10.1 Reasons for and against floating 492
References and further reading 505
Websites 506
Self review questions 507
Questions and problems 508
Assignments 510
Chapter notes 510
11 Long term debt finance 512
Learning outcomes 513
Introduction 514
Some fundamental features of debt finance 515
Bonds 516
Bank borrowing 520
Syndicated loans 523
Credit rating 526
Mezzanine debt and high yield (junk) bonds 530
Case study 11.1 The junk bond wizard: Michael Milken 530
Convertible bonds 534
Valuing bonds 538
International sources of debt finance 543
Project finance 554
Sale and leaseback 556
Securitisation 557
The term structure of interest rates 560
Concluding comments 564
Key points and concepts 565
References and further reading 567
Websites S68
Self review questions S69
Questions and problems 5 JO
Assignments ^72
Chapter notes S73
12 Short term and medium term finance 574
Learning outcomes 575 t
Introduction 575
Bank sources
Trade credit 5^3
Contents xiii
j Trade debtor management 586
I Factoring 593
l Hire purchase 598
I Leasing 602
f Bills of exchange 607
Acceptance credits (or bank bills or banker s acceptance) 609
Concluding comments 609
Key points and concepts 613
References and further reading 614
Websites 615
Self review questions 616
Questions and problems 616
Assignments 620
Chapter notes 620
13 Treasury and working capital management 622
Learning outcomes 623
Introduction 624
The main areas of treasury and working capital management 626
Case study 13.1 Cadbury Schweppes treasury risk management 628
Financing 629
Risk management 639
Working capital management 643
Investment of temporary surplus funds 664
Concluding comments 669
Key points and concepts 669
References and further reading 671
Websites 672
Self review questions 673
Questions and problems 673
Assignments 679
Chapter notes 679
14 Stock market efficiency 682
Learning outcomes 683
Introduction 684
What is meant by efficiency? 684
Random walks 689
The three levels of efficiency 691
Weak form tests 692
Semi strong form tests 700
Strong form tests 717
Behavioural finance 719
Misconceptions about the efficient market hypothesis 726
Contents
Implications of the EMH for investors 726
Implications of the EMH for companies 727
Concluding comments 29
Key points and concepts 729
References and further reading 730
Self review questions 741
Questions and problems 741
Assignment 743
Chapter notes 744
Part V Corporate value 746
15 Value management 748
Learning outcomes 749
Introduction 750
Value creation and value destruction 752
The shareholder wealth maximising goal 755
Three steps of value 756
Earnings based management 758
How a business creates value 767
Concluding comments 775
Key points and concepts 776
References and further reading 778
Self review questions 779
Questions and problems 779
Assignment 781
Chapter notes 782
16 Strategy and value 784
Learning outcomes 785
Introduction 786
An overview of the application of value principles 786
The firm s objective 786
Strategic business unit management 788
Corporate strategy 799
Targets and motivation 804
Case study 16.1 Strategy, planning and budgeting at Lloyds TSB 804
Concluding comments §Q5
Key points and concepts #05
References and further reading gQ7
Self review questions ggy I
Questions and problems gQy
Assignments g^Q
Chapter notes gjO
Contents xv
17 Value creation metrics 812
Learning outcomes 813
¦ Introduction 814
Using cash flow to measure value 814
Shareholder value analysis 820
Economic profit 828
Economic value added (EVA®) 836
Cash flow return on investment (CFROI) 838
Concluding comments 839
t Key points and concepts 839
References and further reading 841
Self review questions 843
¦ Questions and problems 843
Assignment 846
Chapter notes 846
18 Entire firm value measurement 850
Learning outcomes 851
Introduction 852
Total shareholder return (TSR) 853
Wealth Added Index (WAI) 855
Market Value Added (MVA) 858
Excess return (ER) 861
Market to book ratio (MBR) 863
Concluding comments 865
Key points and concepts 866
References and further reading 867
Website 867
Self review questions 868
Questions and problems 868
Assignment 869
Chapter notes 869
19 The cost of capital 870
Learning outcomes 871
Introduction 872
A word of warning 872
The required rate of return 873
The weighted average cost of capital (WACC) 875
The cost of equity capital 880
The cost of retained earnings 882
The cost of debt capital 883
The cost of preference share capital 885
Contents
Calculating the weights 886
Applying the WACC to projects and SBUs 888
Empirical evidence of corporate practice 889
Implementation issues 893
Fundamental beta 896
Some thoughts on the cost of capital 896
Concluding comments 898
Key points and concepts 898
References and further reading 899
Websites 901
Self review questions 902
Questions and problems 902
Assignment 904
Chapter notes 904
20 Valuing shares 906
Learning outcomes 907
Introduction 908
Case study 20.1 Amazon.com and Orange 908
Valuation using net asset value (NAV) 909
Valuation using income flow methods 913
The dividend valuation models 914
The price earnings ratio (PER) model 922
Valuation using cash flow 929
Valuation using owner earnings 931
Valuing unquoted shares 933
Unusual companies 934
Managerial control and valuation 937
Allowing for real option values 939
Concluding comments 942
Key points and concepts 943
References and further reading 945
Self review questions 947
Questions and problems 947
Assignments 954
Chapter notes 955
21 Capital structure 955
Learning outcomes 957
Introduction 9jg
Case study 21.1 The balance between debt and ordinary share capital 959 [
What do we mean be gearing ? 960
The effect of gearing 9^
The value of the firm and the cost of capital 971
Contents xvii
Does the cost of capital (WACC) decrease with higher debt levels? 972
Modigliani and Miller s argument in a world with no taxes 974
The capital structure decision in a world with tax 978
Additional considerations 980
Some further thoughts on debt finance 988
Concluding comments 991
Key points and concepts 993
Appendix 21.1 Asset beta 99S
Appendix 21.2 Adjusted present value (APV) 996
References and further reading 998
Self review questions 1002
I Questions and problems 1003
Assignments 1005
i Chapter notes 1006
22 Dividend policy 1008
Learning outcomes 1009
Introduction 1010
Defining the problem 1010
Miller and Modigliani s dividend irrelevancy proposition 1011
Dividends as a residual 1013
Clientele effects 1016
Taxation 1017
Dividends as conveyors of information 1018
Resolution of uncertainty 1019
Owner control (agency theory) 1021
Scrip dividends 1021
Share buy backs and special dividends 1023
A round up of the arguments 1026
Concluding comments 1028
Key points and concepts 1029
References and further reading 1030
Self review questions 1032
Questions and problems 1032
Assignments 1035
Chapter notes 1036
23 Mergers 1038
Learning outcomes 1039
Introduction 1040
The merger decision 1040
Definitions and semantics 1041
Merger statistics 2042
Merger motives 1044
Contents
Case study 23.1 Economies of scale in oil 1049
Financing mergers 1058
The merger process 1 065
The impact of mergers 1074
Managing mergers 1079
Concluding comments 1089
Key points and concepts 1089
References and further reading 1092
Websites 1096
Self review questions 1097
Questions and problems 1097
Assignment 1100
Chapter notes 1100
Part VI Managing risk 1102
24 Derivatives 1104
Learning outcomes 1105
Introduction 1106
A long history 1107
Options 1107
Forwards 1118
Futures 1119
Forward rate agreements (FRAs) 1131
A comparison of options, futures, forwards and FRAs 1132
Caps 1134
Swaps 1135
Derivatives users 1138
Concluding comments 1139
Key points and concepts 1140
Appendix 24.1 Option pricing 1142
Appendix 24.2 The relationship between FRAs and swaps 1144
References and further reading 1147
Websites 1148
Self review questions 1149
Questions and problems 1149
Assignments 1154
Chapter notes 1154
25 Managing exchange rate risk 1156
Learning outcomes 1157
Introduction 1158
Case study 25.1 What a difference a few percentage point moves on I
the exchange rate make 1158
The effects of exchange rate changes j ^59
Contents xix
Volatility in foreign exchange 1160
The foreign exchange markets 1160
Exchange rates 1164
Types of foreign exchange risk 1170
Transaction risk strategies 1173
Managing translation risk 1183
Managing economic risk 1185
Exchange rate determination 1187
Concluding comments 1194
Key points and concepts 1194
References and further reading 1196
I Websites 1196
Self review questions 1197
Questions and problems 1197
Assignments 1200
Chapter notes 1200
APPENDICES A:1
I Future value of £1 at compound interest A:2
II Present value of £1 at compound interest A:3
III Present value of an annuity of £l at compound interest A:4
IV The future value of an annuity of £1 at compound interest A:5
V Areas under the standardised normal distribution A:6
VI Answers to the mathematical tools exercises in Chapter 2,
Appendix 2.1 A:7
VII Solutions to selected questions and problems A:8
Glossary G:l
Bibliography B:l
Index hi
|
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author | Arnold, Glen |
author_facet | Arnold, Glen |
author_role | aut |
author_sort | Arnold, Glen |
author_variant | g a ga |
building | Verbundindex |
bvnumber | BV020020527 |
callnumber-first | H - Social Science |
callnumber-label | HG4026 |
callnumber-raw | HG4026 |
callnumber-search | HG4026 |
callnumber-sort | HG 44026 |
callnumber-subject | HG - Finance |
classification_rvk | QP 700 |
ctrlnum | (OCoLC)58535858 (DE-599)BVBBV020020527 |
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 | 3. ed. |
format | Book |
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genre | 1\p (DE-588)4123623-3 Lehrbuch gnd-content |
genre_facet | Lehrbuch |
id | DE-604.BV020020527 |
illustrated | Illustrated |
indexdate | 2024-07-09T20:11:00Z |
institution | BVB |
isbn | 0273687263 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-013341903 |
oclc_num | 58535858 |
open_access_boolean | |
owner | DE-92 DE-19 DE-BY-UBM DE-11 DE-188 |
owner_facet | DE-92 DE-19 DE-BY-UBM DE-11 DE-188 |
physical | getr. Zählung Ill., graph. Darst. |
publishDate | 2005 |
publishDateSearch | 2005 |
publishDateSort | 2005 |
publisher | Financial Times/Prentice Hall |
record_format | marc |
spelling | Arnold, Glen Verfasser aut Corporate financial management Glen Arnold 3. ed. Harlow [u.a.] Financial Times/Prentice Hall 2005 getr. Zählung Ill., graph. Darst. txt rdacontent n rdamedia nc rdacarrier Financieel management gtt Corporations Unternehmen (DE-588)4061963-1 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf Corporate Finance (DE-588)4269795-5 gnd rswk-swf Finanzierung (DE-588)4017182-6 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 HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=013341903&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 Financieel management gtt Corporations Unternehmen (DE-588)4061963-1 gnd Finanzmanagement (DE-588)4139075-1 gnd Corporate Finance (DE-588)4269795-5 gnd Finanzierung (DE-588)4017182-6 gnd |
subject_GND | (DE-588)4061963-1 (DE-588)4139075-1 (DE-588)4269795-5 (DE-588)4017182-6 (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 | Financieel management gtt Corporations Unternehmen (DE-588)4061963-1 gnd Finanzmanagement (DE-588)4139075-1 gnd Corporate Finance (DE-588)4269795-5 gnd Finanzierung (DE-588)4017182-6 gnd |
topic_facet | Financieel management Corporations Unternehmen Finanzmanagement Corporate Finance Finanzierung Lehrbuch |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=013341903&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT arnoldglen corporatefinancialmanagement |