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European-American Trade And Financial Alliances
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European-American Trade And Financial AlliancesEuropean-American Trade And Financial Alliances

In this, his final book, Gavin Boyd has brought together a distinguished group of experts on the nature and extent of transatlantic policy coordination and its implication for corporate strategy. This remarkably relevant set of papers offers a discussion on the economic and financial linkage between Europe and North America, as well as the trade and investment rules governing this interaction.
 
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Tags: Europe, North, America, between, linkage, European-American, Financial, Alliances, Trade, financial
Strategic Financial Management
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Strategic Financial ManagementStrategic Financial Management

In a world of geo-political, social and economic uncertainty, Strategic Financial Management is under pressure. This free book reviews the subject within the context of current events. Each chapter contains Activities (with solutions) to test understanding at your own pace. Comprehensive, yet concise, the material is also presented logically as a guide to further study.

First, the investment decision, which maximises net present value and shareholder wealth. Next, the finance decision, which allocates least-cost combinations of capital resources. Finally, the wealth decision, which examines how internal investment and financial decisions should be externally monitored by the market.

 
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Tags: which, decision, Financial, wealth, Strategic, Management
ARCH Models for Financial Applications
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ARCH Models for Financial ApplicationsARCH Models for Financial Applications

Autoregressive Conditional Heteroskedastic (ARCH) processes are used in finance to model asset price volatility over time. This book introduces both the theory and applications of ARCH models and provides the basic theoretical and empirical background, before proceeding to more advanced issues and applications. The Authors provide coverage of the recent developments in ARCH modelling which can be implemented using econometric software, model construction, fitting and forecasting and model evaluation and selection.
 
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Tags: model, applications, implemented, using, econometric, Models, Applications, Financial
Financial Management: Theory and Practice 12th Edition
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Financial Management: Theory and Practice 12th EditionFinancial Management: Theory and Practice 12th Edition

Dr. Eugene F. Brigham is Graduate Research Professor Emeritus at the University of Florida, where he has taught since 1971. Dr. Brigham received his M.B.A. and Ph.D. from the University of California-Berkeley and his undergraduate degree from the University of North Carolina. Prior to coming to the University of Florida, Dr. Brigham held teaching positions at the University of Connecticut, the University of Wisconsin, and the University of California-Los Angeles. Dr. Brigham served as president of the Financial Management Association and wrote more than the 40 journal articles on the cost of capital, capital structure, and other aspects of financial management.
 
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Tags: University, Brigham, Financial, Florida, Management, capital
Corporate Finance: Theory and Practice
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Corporate Finance: Theory and PracticeCorporate Finance: Theory and Practice

This textbook is designed for core courses in Corporate Finance taken by MBA , Masters in Finance and final year undergrads. It will also have a large market amongst corporate finance practitioners. It describes the theory and practice of Corporate Finance showing how to use financial theory to solve practical problems from a truly European perspective. Section one includes financial analysis which is not included in any other corporate finance textbook.
 
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Tags: Finance, Corporate, finance, textbook, financial, theory