Principles of Corporate Finance 13th © 2020 Brealey Test Bank and Solution Manual
Principles of Corporate Finance 13th Edition By Richard Brealey and Stewart Myers and Franklin Allen © 2020 Test Bank and Solution Manual
- Hardcover: 992 pages
- Publisher: McGraw-Hill Education; 13 edition (January 3, 2019)
- Language: English
- ISBN-10: 1260013901
- ISBN-13: 978-1260013900
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Principles of Corporate Finance
- Principles of Corporate Finance describes the theory and practice of corporate finance. Financial managers are shown how to use financial theory to solve practical problems.
- Includes coverage of the U.S. Tax Cuts and Jobs Act passed in December 2017 in both the text and in Connect.
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About the Author
Richard A. Brealey is a Professor of Finance at the London Business School. He is the former president of the European Finance Association and a former director of the American Finance Association. He is a fellow of the British Academy and has served as a special adviser to the Governor of the Bank of England and as director of a number of financial institutions. Professor Brealey is also the author (with Professor Myers) of this book’s sister text, Principles of Corporate Finance.
Stewart C. Myers is the Gordon Y Billard Professor of Finance at MIT’s Sloan School of Management. He is past president of the American Finance Association and a research associate of the National Bureau of Economic Research. His research has focused on financing decisions, valuation methods, the cost of capital, and financial aspects of government regulation of business. Dr. Myers is a director of The Brattle Group, Inc., and is active as a financial consultant. He is also the author (with Professor Brealey) of this book’s sister text, Principles of Corporate Finance.
Professor of Finance and Economics, Imperial College London, and Nippon Life Professor of Finance at the Wharton School of the University of Pennsylvania. He is past president of the American Finance Association, Western Finance Association, Society for Financial Studies, Financial Intermediation Research Society, and Financial Management Association. His research has focused on financial innovation, asset price bubbles, comparing financial systems, and financial crises. He is executive director of the Brevan Howard Centre for Financial Analysis at Imperial College Business School.
TABLE OF CONTENTS:
Part One: Value
Ch. 1 Introduction to Corporate Finance
Ch. 2 How to Calculate Present Values
Ch. 3 Valuing Bonds
Ch. 4 The Value of Common Stocks
Ch. 5 Net Present Value and Other Investment Criteria
Ch. 6 Making Investment Decisions with the Net Present Value Rule
Part Two: Risk
Ch. 7 Introduction to Risk and Return
Ch. 8 Portfolio Theory and the Capital Asset Pricing Model
Ch. 9 Risk and the Cost of Capital
Part Three: Best Practices in Capital Budgeting
Ch. 10 Project Analysis
Ch. 11 How to Ensure that Projects Truly Have Positive NPVs
Ch. 12 Agency Problems and Investment
Part Four: Financing Decisions and Market Efficiency
Ch. 13 Efficient Markets and Behavioral Finance
Ch. 14 An Overview of Corporate Financing
Ch. 15 How Corporations Issue Securities
Part Five: Payout Policy and Capital Structure
Ch. 16 Payout Policy
Ch. 17 Does Debt Policy Matter?
Ch. 18 How Much Should a Corporation Borrow
Ch. 19 Financing and Valuation
Part Six: Options
Ch. 20 Understanding Options
Ch. 21 Valuing Options
Ch. 22 Real Options
Part Seven: Debt Financing
Ch. 23 Credit Risk and the Value of Corporate Debt
Ch. 24 The Many Different Kinds of Debt
Ch. 25 Leasing
Part Eight: Risk Management
Ch. 26 Managing Risk
Ch. 27 Managing International Risks
Part Nine: Financial Planning and Working Capital Management
Ch. 28 Financial Analysis
Ch. 29 Financial Planning
Ch. 30 Working Capital Management
Part Ten: Mergers, Corporate Control, and Governance
Ch. 31 Mergers
Ch. 32 Corporate Restructuring
Ch. 33 Governance and Corporate Control around the World
Part Eleven: Conclusion
Ch. 34 Conclusion: What We Do and Do Not Know about Finance
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