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Principles of Corporate Finance, 14th Edition

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- ISBN :978-1265074159
- Publisher :McGraw-Hill Education; 14th edition
- Publication Date :January 1, 2022
- Language :English
- Print Length :1056 Pages

Principles of Corporate Finance ISE 14th Edition: A Comprehensive Guide for Financial Managers
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Introduction: Bridging Theory and Practice in Corporate Finance
The Principles of Corporate Finance ISE, now in its 14th Edition, continues its long-standing tradition of demonstrating how financial theory applies to the practical problems and decisions faced by financial managers. By focusing on what financial managers do and why, this textbook aims to provide readers with a solid understanding of financial theory, helping them to ask the right questions and make informed decisions when faced with new challenges.
New Expert Insights and Global Focus
This edition welcomes Alex Edmans to the author team, whose expertise in corporate governance, responsible business, and behavioral finance has significantly enriched the book’s coverage of these topics. Moreover, a new chapter is dedicated entirely to balancing shareholder value with promoting the interests of all stakeholders, addressing potential conflicts and outlining how responsible businesses should behave. Additionally, this edition takes a more international perspective, incorporating insights and data from major developing economies like China and India, and exploring how financing and governance systems differ worldwide.
Key Features of Principles of Corporate Finance ISE 14th Edition
Understanding Financial Decisions
The textbook provides a comprehensive look at what financial managers do and why they do it. For example, it explains how to apply financial theory to solve real-world problems, giving readers the tools they need to navigate the complexities of financial management.
Expanded Coverage of Emerging Topics
This edition includes expanded discussions on behavioral finance and the financial innovations driven by AI, big data, and cloud computing. Furthermore, the new content reflects the growing importance of these topics in the field of corporate finance.
New Chapter Summaries and Self-Test Questions
To enhance the learning experience, this edition introduces new chapter content summaries and self-test questions interspersed at key points. As a result, readers can better assess their understanding and retention of the material as they progress through the book.
International Perspectives and Responsible Business
The 14th Edition has broadened its scope to include more information on international finance, particularly focusing on how different financing and governance systems operate around the world. Moreover, the addition of Alex Edmans as an author brings a fresh perspective on corporate governance and responsible business practices, which are increasingly relevant in today’s global economy.
What is Corporate Finance?
Corporate finance is the area of finance that deals with the sources of funding, the capital structure of corporations, and the actions that managers take to increase the value of the firm to the shareholders. Essentially, it involves making decisions about investment, financing, and dividends that align with the company’s strategic objectives. Moreover, corporate finance plays a critical role in ensuring that a company can fund its operations, expand its business, and maximize shareholder value while managing risk.
Detailed Chapter Breakdown
Part One: Value
- Introduction to Corporate Finance
- How to Calculate Present Values
- Valuing Bonds
- Valuing Stocks
- Net Present Value and Other Investment Criteria
- Making Investment Decisions with the Net Present Value Rule
Part Two: Risk
- Introduction to Risk, Diversification, and Portfolio Selection
- The Capital Asset Pricing Model
- Risk and the Cost of Capital
Part Three: Best Practices in Capital Budgeting
- Project Analysis
- How to Ensure That Projects Truly Have Positive NPVs
Part Four: Financing Decisions and Market Efficiency
- Efficient Markets and Behavioral Finance
- An Overview of Corporate Financing
- How Corporations Issue Securities
Part Five: Payout Policy and Capital Structure
- Payout Policy
- Does Debt Policy Matter?
- How Much Should a Corporation Borrow?
- Financing and Valuation
Part Six: Corporate Objectives and Governance
- Agency Problems and Corporate Governance
- Stakeholder Capitalism and Responsible Business
Part Seven: Options
- Understanding Options
- Valuing Options
- Real Options
Part Eight: Debt Financing
- Credit Risk and the Value of Corporate Debt
- The Many Different Kinds of Debt
- Leasing
Part Nine: Risk Management
- Managing Risk
- International Financial Management
Part Ten: Financial Planning and Working Capital Management
- Financial Analysis
- Financial Planning
- Working Capital Management
Part Eleven: Mergers, Corporate Control, and Governance
- Mergers
- Corporate Restructuring
Part Twelve: Conclusion
- Conclusion: What We Do and Do Not Know about Finance
Product Details:
- Publisher: McGraw-Hill Education; 14th edition (January 1, 2022)
- Language: English
- ISBN-10: 1265074151
- ISBN-13: 978-1265074159
- Print Length: 1056 pages
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