Taxmanns Financial Management Theory | Concepts | Problems Perfect synthesises of theory & practice, covering financial mo
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Description
This Book Is An Authoritative And Comprehensive Guide Exploring The Multifaceted Financial Management Field. This Seminal Work Discusses The Intricate Decisions That Individuals And Business Firms Make, Which Carry Financial Implications. This Book Evaluates Financial Decisions To Maximise Firm Value And Shareholder Wealth, As Indicated By Share Market Prices.This Book Aims To Fulfil The Requirement Of Students Preparing For Professional Exams Conducted By Icai, Icsi, Icwai & Students Of PostGraduate Courses In Commerce And Management. This Book Will Also Be Helpful For Financial Executives In Updating Their Knowledge About Current Thinking And Developments Taking Place In Financial Management.The Present Publication Is The 7Th Edition, Authored By Dr. R.P. Rustagi, With The Following Noteworthy Features: [Highlights Of The 7Th Edition] Are As Follows:O Introduction Of Chapter Summaries And Points To Remembero Inclusion Of Objective Type Questions, Multiple Choice Questions (Mcqs), And Updates To Chapters With Recent Developments In Financial Managemento Additional Discussions On Treasury Management, Portfolio Evaluation, Valuation Of Futures And Swaps, Capital Structure Theories, Foreign Capital Sources, And Risk Management Techniqueso Updated With The Latest Examination Questions, Examples, And Graded Illustrationso Addition Of Ten Case Studies On Working Capital Management To Expose Students To RealLife Financial Management Problems, With Selected Hints For Analytical Approaches [Simple, Systematic & Comprehensive Explanation] The Subject Matter Is Presented Using A Simple, Systematic Method That Comprehensively Explains Financial Management Concepts And Theories. The Book Tries To Explain The Subject Matter Through Realistic And Practical Examples. [StudentOriented Book] This Book Has Been Developed Keeping In Mind The Following Factors:O Interaction Of The Author/Teacher With Their Students In The Classroomo Shaped By The Author/TeacherS Experience Of Teaching The Subject Matter At Different Levels For More Than Three Decadeso Reactions And Responses Of Students Have Also Been Incorporated At Different Places In The Book [Practical Solutions] The Problems The Financial Managers May Face And The Decisions They Must Make Have Been Explained In Terms Of This Objective And The RiskReturn TradeOff [Indian Capital Market In A Capsuled Form] Analysis & Discussion On The Changing Structure Of Indian Capital Markets [Highlights & Summaries] Of Every Chapter Have Been Provided In The Form Of Points To Remember [Financial Decision Making Through Excel] Is Explained With The Help Of Several Numerical Examples From Different Topicsthe Book Is Structured Into 32 Chapters Across Ten Parts, Each Focusing On A Specific Area Of Financial Management, With A Special Emphasis On The Indian Capital Market Points To Remember Graded Illustrations Object Type Questions (True/False) Multiple Choice Questions Assignments Problems (Unsolved Questions With Answers)Contents Of This Book Are As Follows: [Part I Background] The Book Comprehensively Covers The Field Of Finance, Starting With The Basics Of Financial Markets, Assets, And Intermediaries, Before Discussing The Mathematics Of Finance, Highlighting The Importance Of Concepts Such As Compounding, Discounting, And The Time Value Of Money (Tvm). It Includes Student Activities, MultipleChoice Questions, Assignments, And Problems To Reinforce Learning [Part Ii Valuation And Risk Management] This Part Focuses On Valuation And Risk Management, Introducing The Valuation Of Securities, Including Bonds, Convertible Debentures, And Equity Shares. It Covers The RiskReturn Dimension, Share Valuation, And Financial DecisionMaking, Supplemented By Student Activities And Problems For Practical Understanding. The Discussion On Risk And Return, Portfolio Management, The Capital Asset Pricing Model (Capm), And The Theory Of Portfolio Selection Deepen The ReaderS Understanding Of Investment Strategies And Risk Management. It Includes Graded Illustrations, Objective Questions, And Assignments For A Comprehensive Learning Experience [Part Iii LongTerm Investment Decisions: Capital Budgeting] This Part Shifts To LongTerm Investment Decisions, Discussing Capital Budgeting From Cash Flow Estimation To Evaluation Techniques, Addressing Issues Like Inflation, Capital Rationing, And The Impact Of Risk And Uncertainty. Each Chapter Includes Points To Remember, Illustrations, And Questions To Test Understanding. Financial Derivatives, Including Futures, Options, Swaps, And Credit Derivatives, Are Introduced, And Their Valuation Models And Strategies Are Explained. This Section Aims To Equip Readers With The Knowledge To Navigate The Complex World Of Financial Derivatives Effectively [Part Iv Financing Decision] The Book Covers The Cost Of Capital, Leverage Analysis, EbitEps Analysis, And The Interplay Between Leverage, Cost Of Capital, And Firm Value. These Chapters Ar
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