Strategic Financial Management
The book is divided into five sections. Section I introduces students to the fundamentals of strategic management and financial management. Section II explains the techniques of portfolio tools, Markowitz modern portfolio theory, capital asset pricing model, factor models and arbitrage pricing theory. Section III discusses investment decision under risk and uncertainly, corporate strategy and high technology investment. Section IV focuses on tools and techniques of analysis and interpretation of financial statements, corporate valuation and value-based management. Section V dwells on contemporary issues in strategic financial management such as corporate restructuring, mergers and acquisitions.
The book is intended as a text for postgraduate students of management. In addition, students pursuing professional courses such as chartered accountancy, MFC, as well as professionals in the corporate sector will find the book useful.
- Provides solved practical problems and examples
- Provides tables, flow charts and diagrams to make concepts clear
- Includes chapter-end questions and problems to test students’: knowledge
- Supports theory with caselets to put the matter in the right perspective
*An electronic version of a printed book that can be read on a computer or handheld device designed specifically for this purpose.
Formats for this Ebook
|Required Software||Any PDF Reader, Apple Preview|
|Supported Devices||Windows PC/PocketPC, Mac OS, Linux OS, Apple iPhone/iPod Touch.|
|# of Devices||Unlimited|
|Flowing Text / Pages||Pages|
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