TY - BOOK AU - Pandey, I. M. TI - Financial management SN - 9788125916581 U1 - 658.15 22 PY - 2005///, PY - 2004/// CY - New Delhi : PB - Vikas publishing house PVT ltd., KW - Financial management KW - Corporate governance N1 - Contents Part 1: Valuation 1. Nature of financial management Scope of finance Finance functions Financial manager's role Financial goal: Profit maximization versus wealth maximization etc. 2. Concepts of value and return Time preference for money Future value Future value of a single cash flow Future value of an annuity etc. 3. Valuation of bonds and shares Concepts of value Features of a bond Bonds values and yields Yield to maturity etc. 4. Risk and return: An overview of capital market theory Return on a single asset Risk of rates of return: Variance and standard deviation Calculation of variance and standard deviation Historical capital market returns etc. 5. Risk and return: Portfolio theory and assets pricing models Portfolio return: Two-asset case Portfolio risk: Two-asset case Portfolio risk - return analysis: Two-asset case Efficient portfolio and mean-variance criterion etc. 6. Beta estimation and the cost of equity Beta estimation Beta estimation in practice Beta estimation Determinants of beta etc. 7. Options and their valuation Options Call options Put options Options trading in India etc. Part 2: Investment decisions 8. Capital budgeting decisions Nature of investment decisions Types of investment decisions Investment evaluation criteria Net present value method etc. 9. The cost of capital Significance of the cost of capital The concept of the opportunity cost of capital Determining component costs of capital Cost of debt etc. 10. Determining cash flows for investment analysis Cash flow versus profit Incremental cash flows Components of cash flows Calculation of depreciation for tax purposes etc. 11. Complex investment decisions Projects with different lives Investment timing and duration Replacement of an existing asset Investment decisions under capital rationing etc. 12. Risk analysis in capital budgeting Nature of risk Statistical techniques for risk analysis Conventional techniques of risk analysis etc. 13. Real options, investment strategy and process Capital investments Capital investments planning and control Qualitative factors and judgement in capital budgeting Investments decisions and corporate strategy etc. Part 3: Financing and dividend decisions 14. Financial and operating leverage Capital structure defined meaning of financial leverage Measures of financial leverage etc. 15. Capital structure Relevance of capital structure: Net income and the traditional views Irrelevance of capital structure: NOI approach and the MM hypothesis without taxes etc. 16. Valuation and financing Beta, cost of capital and capital structure Free cash flow and WACC Capital cash flows and the opportunity cost of capital etc. 17. Dividend theory Issues in dividend policy Dividend relevance: Walter's model Dividend relevance: Gordon's model etc. Part 4: Long-term financing 19. Capital market efficiency and capital markets in India Capital market efficiency Capital markets in India Primary capital markets in India etc. 20. Long-term finance: shares, debentures and term loans Ordinary shares Right issue of equity shares Preference shares etc. 21. Convertible debentures and warrants Convertible debentures Convertible zero-interest debentures Secure premium notes with warrants 22. Asset-based financing: Lease, hire purchase and project financing Lease financing Evaluating a financial lease Can a lease benefit both lessor and lessee? etc. 23. Venture capital financing Notion of venture capital etc. Part 5: Financial and profit analysis 24. Financial statements and cash flow analysis 25. Financial statements analysis 26. Financial planning and strategy Part 6: Working capital management 27. Principles of working capital management 28. Receivables management and factoring 29. Inventory management 30. Cash management 31. Working capital finance Part 7: Managing value and risk 32. Corporate restructuring. mergers, and acquisitions 33. Derivatives for managing financial risk 34. International financial management 35. Shareholder value and corporate governance 36. Financial management in government companies Part 8: Annexure ; Author index : p. 777-778 . _ Subject index : p. 779-787 ER -