Principles of Corporate Finance
Table of Contents

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Program Details

Part One: Value

Chapter: 1. Introduction to Corporate Finance

Chapter: 2. How to Calculate Present Values

Chapter: 3. Valuing Bonds

Chapter: 4. The Value of Common Stocks

Chapter: 5. Net Present Value and Other Investment Criteria

Chapter: 6. Making Investment Decisions with the Net Present Value Rule

Part Two: Risk

Chapter: 7. Introduction to Risk and Return

Chapter: 8. Portfolio Theory and the Capital Asset Pricing Model

Chapter: 9. Risk and the Cost of Capital

Part Three: Best Practices in Capital Budgeting

Chapter: 10. Project Analysis

Chapter: 11. Investment, Strategy, and Economic Rents

Chapter: 12. Agency Problems, Compensation, and Performance Measurement

Part Four: Financing Decisions and Market Efficiency

Chapter: 13. Efficient Markets and Behavioral Finance

Chapter: 14. An Overview of Corporate Financing

Chapter: 15. How Corporations Issue Securities

Part Five: Payout Policy and Capital Structure

Chapter: 16. Payout Policy

Chapter: 17. Does Debt Policy Matter?

Chapter: 18. How Much Should a Corporation Borrow?

Chapter: 19. Financing and Valuation

Part Six: Options

Chapter: 20. Understanding Options

Chapter: 21. Valuing Options

Chapter: 22. Real Options

Part Seven: Debt Financing

Chapter: 23. Credit Risk and the Value of Corporate Debt

Chapter: 24. The Many Different Kinds of Debt

Chapter: 25. Leasing

Part Eight: Risk Management

Chapter: 26. Managing Risk

Chapter: 27. Managing International Risks

Part Nine: Financial Planning and Working Capital Management

Chapter: 28. Financial Analysis

Chapter: 29. Financial Planning

Chapter: 30. Working Capital Management

Part Ten: Mergers, Corporate Control, and Governance

Chapter: 31. Mergers

Chapter: 32. Corporate Restructuring

Chapter: 33. Governance and Corporate Control Around the World

Part Eleven: Conclusion

Chapter: 34. Conclusion: What We Do and Do Not Know About Finance