Financial Management: Theory and Practice, 2/e (An Asia Edition)(Paperback)
暫譯: 財務管理:理論與實務,第2版(亞洲版)(平裝本)

Ser-Keng Ang , Jack Hong , Annie Koh , Eugene F. Brigham , Michael C. Ehrhardt

  • 出版商: Cengage Learning
  • 出版日期: 2021-01-01
  • 定價: $1,450
  • 售價: 9.8$1,421
  • 語言: 英文
  • 頁數: 1254
  • ISBN: 9814962651
  • ISBN-13: 9789814962650
  • 下單後立即進貨 (約5~7天)

商品描述

  • Description
    The second Asia edition of Financial Management: Theory and Practice gives readers a fresh perspective on the latest trends of the financial world. The entire world has experienced heightened disruption and uncertainty with the 2019 global pandemic and the trade war between China and the US. The world of finance has not been spared the impact of these disruptions. Rapid technological change, especially in communications, has fundamentally altered competitive landscapes and the way firms compete.

    Increasingly, industry norms and conventions have been under rising pressure to maintain their relevancy or become obsolete. Leveraging on the power of platforms, personal data, analytics, and artificial intelligence, Asian countries have been at the forefront of progress in driving consumer behavior and changing the way business is conducted and delivered. This rapid progress has affected not only the financial performance of firms but also the way financial decisions are made and how financial management should be carried out.

    To help you understand the rejuvenation of financial management, this new Asia Edition includes:
    • Examples of leading Asian companies and elaboration of how these firms are leading the charge in their respective industries globally.
    • Chapters adapted to explaining both the practices and nuances in the Asian markets and the differences in corporate sectors.
    • Additional discussions regarding new areas of financing, such as green finance, REITs, and Islamic Banking.
    • An introduction to alternative financial services platforms increasingly being adopted across Asia, such as e-Wallet, shadow banking, peer-to-peer lending, microfinance, and crowdfunding.
    • Insights on new and emerging risks in risk management, such as cyber-security and supply chain risks.

商品描述(中文翻譯)



  • 描述

    《財務管理:理論與實務》的第二版亞洲版為讀者提供了對金融世界最新趨勢的新視角。整個世界因2019年全球疫情和中美貿易戰而經歷了加劇的擾動和不確定性。金融界也未能倖免於這些擾動的影響。快速的技術變革,尤其是在通訊領域,根本改變了競爭格局以及企業競爭的方式。



    行業規範和慣例越來越受到壓力,必須保持其相關性或面臨過時的風險。亞洲國家利用平台、個人數據、分析和人工智慧的力量,走在推動消費者行為和改變商業運作及交付方式的最前沿。這一快速進展不僅影響了企業的財務表現,還改變了財務決策的方式以及財務管理的執行方式。



    為了幫助您理解財務管理的再生,這本新的亞洲版包括:

    • 領先亞洲公司的案例,並詳細說明這些公司如何在各自的行業中引領全球潮流。

    • 適應亞洲市場的實踐和細微差異的章節,以及企業部門之間的差異。

    • 關於新融資領域的額外討論,例如綠色金融、REITs和伊斯蘭銀行。

    • 介紹在亞洲越來越被採用的替代金融服務平台,例如電子錢包、影子銀行、點對點貸款、小額信貸和眾籌。

    • 有關風險管理中新興風險的見解,例如網絡安全和供應鏈風險。



目錄大綱

Table of Contents
Preface
PART 1 THE COMPANY AND ITS ENVIRONMENT
Chapter 1 An Overview of Financial Management and the Financial Environment
Chapter 2 Financial Statements, Cash Flow, and Taxes
Chapter 3 Analysis of Financial Statements

PART 2 FIXED INCOME SECURITIES
Chapter 4 Time Value of Money
Chapter 5 Bonds, Bond Valuation, and Interest Rates

PART 3 Stocks and Options
Chapter 6 Risk and Return
Chapter 7 Corporate Valuation and Stock Valuation
Chapter 8 Financial Options and Applications in Corporate Finance

PART 4 PROJECTS AND THEIR VALUATION
Chapter 9 The Cost of Capital
Chapter 10 The Basics of Capital Budgeting: Evaluating Cash Flows
Chapter 11 Cash Flow Estimation and Risk Analysis

PART 5 CORPORATE VALUATION AND GOVERNANCE
Chapter 12 Corporate Valuation and Financial Planning
Chapter 13 Corporate Governance

PART 6 CASH DISTRIBUTIONS AND CAPITAL STRUCTURE
Chapter 14 Distributions to Shareholders: Dividends and Repurchases
Chapter 15 Capital Structure Decisions

PART 7 MANAGING GLOBAL OPERATIONS
Chapter 16 Supply Chains and Working Capital Management
Chapter 17 Multinational Financial Management

PART 8 TACTICAL FINANCING DECISIONS
Chapter 18 Public and Private Financing: Initial Offerings, Seasoned Offerings, Investment Banks
Chapter 19 Lease Financing
Chapter 20 Hybrid Financing: Preferred Stock, Warrants, and Convertibles

PART 9 STRATEGIC FINANCE IN A DYNAMIC ENVIRONMENT
Chapter 21 Dynamic Capital Structures and Corporate Valuation
Chapter 22 M&A and Corporate Control
Chapter 23 Enterprise Risk Management
Chapter 24 Bankruptcy, Reorganization, and Liquidation

PART 10 SPECIAL TOPICS
Chapter 25 Portfolio Theory and Asset Pricing Models
Chapter 26 Real Options

WEB Chapters
Chapter 27 Providing and Obtaining Credit
Chapter 28 Advanced Issues in Cash Management and Inventory Control
Chapter 29 Pension Plan Management
Chapter 30 Financial Management in Not-for-Profit Businesses

目錄大綱(中文翻譯)

Table of Contents

Preface

PART 1 THE COMPANY AND ITS ENVIRONMENT

Chapter 1 An Overview of Financial Management and the Financial Environment

Chapter 2 Financial Statements, Cash Flow, and Taxes

Chapter 3 Analysis of Financial Statements



PART 2 FIXED INCOME SECURITIES

Chapter 4 Time Value of Money

Chapter 5 Bonds, Bond Valuation, and Interest Rates



PART 3 Stocks and Options

Chapter 6 Risk and Return

Chapter 7 Corporate Valuation and Stock Valuation

Chapter 8 Financial Options and Applications in Corporate Finance



PART 4 PROJECTS AND THEIR VALUATION

Chapter 9 The Cost of Capital

Chapter 10 The Basics of Capital Budgeting: Evaluating Cash Flows

Chapter 11 Cash Flow Estimation and Risk Analysis



PART 5 CORPORATE VALUATION AND GOVERNANCE

Chapter 12 Corporate Valuation and Financial Planning

Chapter 13 Corporate Governance



PART 6 CASH DISTRIBUTIONS AND CAPITAL STRUCTURE

Chapter 14 Distributions to Shareholders: Dividends and Repurchases

Chapter 15 Capital Structure Decisions



PART 7 MANAGING GLOBAL OPERATIONS

Chapter 16 Supply Chains and Working Capital Management

Chapter 17 Multinational Financial Management



PART 8 TACTICAL FINANCING DECISIONS

Chapter 18 Public and Private Financing: Initial Offerings, Seasoned Offerings, Investment Banks

Chapter 19 Lease Financing

Chapter 20 Hybrid Financing: Preferred Stock, Warrants, and Convertibles



PART 9 STRATEGIC FINANCE IN A DYNAMIC ENVIRONMENT

Chapter 21 Dynamic Capital Structures and Corporate Valuation

Chapter 22 M&A and Corporate Control

Chapter 23 Enterprise Risk Management

Chapter 24 Bankruptcy, Reorganization, and Liquidation



PART 10 SPECIAL TOPICS

Chapter 25 Portfolio Theory and Asset Pricing Models

Chapter 26 Real Options



WEB Chapters

Chapter 27 Providing and Obtaining Credit

Chapter 28 Advanced Issues in Cash Management and Inventory Control

Chapter 29 Pension Plan Management

Chapter 30 Financial Management in Not-for-Profit Businesses