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- 出版社:经济管理出版社
- 出版时间:2021-07
- 开本:16开
- ISBN:9782130955318
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书名: | 公司金融实验课教程(英文版)/十四五高等院校经济管理类课程实验指导丛书 |
作者: | 李薇 |
出版社: | 经济管理出版社 |
出版日期: | 2020-05-01 |
版次: | 1 |
ISBN: | 9787509681626 |
市场价: | 68.0 |
Part One Financial Fundations(金融基础)
Chapter 1 The Time Value of Money(资金的时间价值)
1.1 Compound Interest(复利计息)
1.2 Future Value and Present Value(终值和现值)
Experiment 1 Excel Implementation for Time Value Problem
Chapter 2 Annuities(年金)
2.1 Annuities(年金)
2.2 Ordinary Annuity(后付年金)
2.3 Annuity Due(先付年金)
2.4 Perpetuities(永续年金)
Experiment 2 Excel Implementation for Annuity
Chapter 3 Amortized Loans (分期付款)
Experiment 3 Excel Implementation for Amortization
Part Two Financing(融资)
Chapter 4 Financing Scale(融资规模)
Chapter 5 Cost of Capital(资本成本)
5.1 Cost of Capital(资本成本)
5.2 Optimal Capital Structure(优资本结构)
Experiment 4 Excel Implementation for WACC
Part Three Investment(投资)
Chapter 6 Risk and Return(风险与收益)
6.1 Measurement of Return(收益度量)
6.2 Risk Measurement(风险度量)
6.3 Risk and Return in a Portfolio Context(资产组合的风险收益)
6.4 Capital Market Line
6.5 Security Market Line
Experiment 5 Excel Implementation for Beta
Experiment 6 Excel Implementation for Portfolio
Part Two Financing(融资)
Chapter 4 Financing Scale(融资规模)
Chapter 5 Cost of Capital(资本成本)
5.1 Cost of Capital(资本成本)
5.2 Optimal Capital Structure(优资本结构)
Experiment 4 Excel Implementation for WACC
Part Three Investment(投资)
Chapter 6 Risk and Return(风险与收益)
6.1 Measurement of Return(收益度量)
6.2 Risk Measurement(风险度量)
6.3 Risk and Return in a Portfolio Context(资产组合的风险收益)
6.4 Capital Market Line
6.5 Security Market Line
Experiment 5 Excel Implementation for Beta
Experiment 6 Excel Implementation for Portfolio
Part Two Financing(融资)
Chapter 4 Financing Scale(融资规模)
Chapter 5 Cost of Capital(资本成本)
5.1 Cost of Capital(资本成本)
5.2 Optimal Capital Structure(优资本结构)
Experiment 4 Excel Implementation for WACC
Part Three Investment(投资)
Chapter 6 Risk and Return(风险与收益)
6.1 Measurement of Return(收益度量)
6.2 Risk Measurement(风险度量)
6.3 Risk and Return in a Portfolio Context(资产组合的风险收益)
6.4 Capital Market Line
6.5 Security Market Line
Experiment 5 Excel Implementation for Beta
Experiment 6 Excel Implementation for Portfolio
Chapter 7 Capital Budgeting(资本预算)
7.1 Decision Method(决策方法)
7.2 Cash Flow Estimation(现金流测算)
7.3 Decision Trees(决策树)
Experiment 7 Excel Implementation for NPV
Experiment 8 Excel Implementation for IRR
Chapter 8 Valuation of Securities(证券估值)
8.1 Valuation of Bond(债券估值)
8.2 Valuation of Stock(股票估值)
Part Four Financial Analysis(财务分析)
Chapter 9 Analysis of Financial Statements(财务报表分析)
9.1 Internal Liquidity Ratios(偿债能力比率)
9.2 Ratios Evaluating Operating Performance(营运能力指标)
9.3 Other Useful Ratios(其他常用指标)
Chapter 10 Cash Flow Analysis (现金流分析)
10.1 The Key Elements of CFO,CFI and CFF
10.2 The Calculation of CFO,CFI and CFF
Chapter 11 Dilutive Securities and EPS(稀释证券及稀释每股收益)
Chapter 12 Analysis of Inventories (存货分析)
12.1 First in,First out(FIFO,先进先出)
12.2 Last in,First out(LIFO,后进先出)
12.3 Average Cor/> 12.4 From LIFO to FIFO
12.5 From FIFO to LIFO
Chapter 13 Analysis of Multinational Operations(跨国经营分析)
13.1 Flow and Holding Effectr/> 13.2 All-Current Method vs. Temporal Method
13.3 Translation Gains/Losses Calculation
13.4 Financial Ratios with Different Methodr/> Chapter 14 Mergers(并购)
14. 1 Merger Motivationr/> 14.2 Proxy Fights(委托投票权)vs. Tender Offers(要约收购)
这是一本为金融学或财务管理专业本科生提供的简明学习公司金融课程的实验教材。书中紧密按照资金在公司内部的流动顺序,依次介绍融资、投资和财务管理方面的内容。书关于金融基础、收益与风险、资本成本等公司金融问题的基本模型实验。
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