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Solution Manual for Corporate Finance, 3rd Canadian Edition, Jonathan Berk, Peter DeMarzo, David Stangeland
Table of Contents
Part I – Introduction
Chapter 1 The Corporation
Chapter 2 Introduction to Financial Statement Analysis
Part II — Tools
Chapter 3 Arbitrage and Financial Decision Making
Chapter 4 The Time Value of Money
Chapter 5 Interest Rates
Part III — Basic Valuation
Chapter 6 Valuing Bonds (was chapter 8)
Chapter 7 Valuing Stocks (was chapter 9)
Chapter 8 Investment Decision Rules (was chapter 6)
Chapter 9 Fundamentals of Capital Budgeting (was chapter 7)
Part IV – Risk and Return
Chapter 10 Capital Markets and the Pricing of Risk
Chapter 11 Optimal Portfolio Choice and the Capital Asset Pricing Model
Chapter 12 Estimating the Cost of Capital
Chapter 13 Investor Behaviour and Capital Market Efficiency
Part V – Options
Chapter 14 Financial Options (was chapter 20)
Chapter 15 Option Valuation (was chapter 21)
Chapter 16 Real Options (was chapter 22)
Part VI – Capital Structure and Dividend Policy
Chapter 17 Capital Structure in a Perfect Market (was chapter 14)
Chapter 18 Debt and Taxes (was chapter 15)
Chapter 19 Financial Distress, Managerial Incentives, and Information (was chapter 16)
Chapter 20 Payout Policy (was chapter 17)
Part VII – Valuation
Chapter 21 Capital Budgeting and Valuation with Leverage (was chapter 18)
Chapter 22 Valuation and Financial Modeling: A Case Study (was chapter 19)
Part VIII – Long-Term Financing
Chapter 23 The Mechanics of Raising Equity Capital
Chapter 24 Debt Financing
Chapter 25 Leasing
Part IX – Short-Term Financing
Chapter 26 Working Capital Management
Chapter 27 Short-Term Financial Planning
Part X – Special Topics
Chapter 28 Mergers and Acquisitions
Chapter 29 Corporate Governance
Chapter 30 Risk Management
Chapter 31 International Corporate Finance
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