For Introduction to Managerial Finance courses.
Guide students through complex material with a proven learning goal system. This system - a hallmark feature of Principles of Managerial Finance, Brief-weaves pedagogy into concepts and practice, giving students a roadmap to follow through the text and supplementary tools.
MyFinanceLab for Principles of Managerial Finance: Brief, Seventh Edition creates learning experiences that are truly personalized and continuously adaptive. MyFinanceLab reacts to how students are actually performing, offering data-driven guidance that helps them better absorb course material and understand difficult concepts - resulting in better performance in the course. A dynamic set of tools for gauging individual and class progress means educators can spend less time grading and more time teaching.
This program will provide a better teaching and learning experience-for you and your students. Here's how:
Improve Results with MyFinanceLab: MyFinanceLab delivers proven results in helping students succeed and provides engaging experiences that personalize learning.
Guide Students with a Proven Learning Goal System: Integrating pedagogy with concepts and practical applications, this system presents the material students need to make effective financial decisions in a competitive business environment.
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Note: You are purchasing a standalone product; MyFinanceLab does not come packaged with this content. If you would like to purchase both the physical text and MyFinanceLab search for ISBN-10: 0133740897/ISBN-13: 9780133740899. That package includes ISBN-10: 0133546403/ISBN-13: 9780133546408 and ISBN-10: 0133565416/ISBN-13: 9780133565416.
MyFinanceLab is not a self-paced technology and should only be purchased when required by an instructor.
Auflage
Sprache
Verlagsort
Verlagsgruppe
Zielgruppe
Für höhere Schule und Studium
Maße
Höhe: 254 mm
Breite: 203 mm
Gewicht
ISBN-13
978-0-13-354640-8 (9780133546408)
Schweitzer Klassifikation
Part 1: Introduction to Managerial Finance
Chapter 1: The Role of Managerial Finance
Chapter 2: The Financial Market Environment
Part 2: Financial Tools
Chapter 3: Financial Statements and Ratio Analysis
Chapter 4: Cash Flow and Financial Planning
Chapter 5: Time Value of Money
Part 3: Valuation of Securities
Chapter 6: Interest Rates and Bond Valuation
Chapter 7: Stock Valuation
Part 4: Risk and the Required Rate of Return
Chapter 8: Risk and Return
Chapter 9: The Cost of Capital
Part 5: Long-Term Investment Decisions
Chapter 10: Capital Budgeting Techniques
Chapter 11: Capital Budgeting Cash Flows and Risk Refinements
Part 6: Long-Term Financial Decisions
Chapter 12: Leverage and Capital Structure
Chapter 13: Payout Policy
Part 7: Short-Term Financial Decisions
Chapter 14: Working Capital and Current Assets Management
Chapter 15: Current Liabilities Management