corporate finance core principles and applications 1/e · 2014-11-13 · ch 3 international...

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FINANCE 30 適用課程:財務管理 年份:2015 規格:647 / 彩色 / 平裝 定價:1160 ISBN-139789814575102 ISBN-109814575100 教學配件:教學資源光碟(PowerPoint / 教師手冊 / 題庫 / 習題解答) 作者:Stephen A. Ross, Massachusetts Institute of Technology Randolph W. Westerfield, University of Southern California Bradford D. Jordan, University of Kentucky Raymond Wong, Chinese University of Hong Kong Ben Wong, Hong Kong Polytechnic University, Hong Kong Community College ESSENTIALS OF CORPORATE FINANCE 1/e y Features 1. Learning objectives that are integrated into every chapter. 2. Chapter openers addressing corporate finance issues around the world. 3. Finance Matters boxes highlighting global finance practice. 4. End of chapter cases revisiting important concepts. y Contents CORPORATE FINANCE Core Principles and Applications 1/e y Features 1. Finance Matters boxes explore recent real-world issues and build upon concepts in each chapter. 2. End-of-Chapter Cases focus on common company situations that embody important corporate finance topics. y Contents PART I: OVERVIEW Ch 1 Introduction to Corporate Finance Ch 2 Financial Statements and Cash Flow Ch 3 Financial Statements Analysis and Financial Models PART II: VALUATION AND CAPITAL BUDGETING Ch 4 Discounted Cash Flow Valuation Ch 5 Interest Rates and Bond Valuation Ch 6 Stock Valuation Ch 7 Net Present Value and Other Investment Rules Ch 8 Making Capital Investment Decisions Ch 9 Risk Analysis, Real Options, and Capital Budgeting PART III: RISK AND RETURN Ch 10 Risk and Return: Lessons from Market History Ch 11 Return and Risk: The Capital Asset Pricing Model (CAPM) Ch 12 Risk, Cost of Capital, and Valuation PART IV: CAPITAL STRUCTURE AND DIVIDEND POLICY Ch 13 Efficient Capital Markets and Behavioral Challenges Ch 14 Capital Structure: Basic Concepts Ch 15 Capital Structure: Limits to the Use of Debt Ch 16 Dividends and Other Payouts PART V: SPECIAL TOPICS Ch 17 Options and Corporate Finance Ch 18 Short-Term Finance and Planning Ch 19 Raising Capital Ch 20 International Corporate Finance Ch 21 Mergers and Acquisitions (Web only) PART I: OVERVIEW OF FINANCIAL MANAGEMENT Ch 1 Introduction to Financial Management PART II: UNDERSTANDING FINANCIAL STATEMENTS AND CASH FLOW Ch 2 Financial Statements, Taxes, and Cash Flow Ch 3 Working with Financial Statements PART III: VALUATION OF FUTURE CASH FLOWS Ch 4 Introduction to Valuation: The Time Value of Money Ch 5 Discounted Cash Flow Valuation PART IV: VALUING STOCKS AND BONDS Ch 6 Interest Rates and Bond Valuation Ch 7 Equity Markets and Stock Valuation PART V: CAPITAL BUDGETING Ch 8 Net Present Value and Other Investment Criteria Ch 9 Making Capital Investment Decisions PART VI: RISK AND RETURN Ch 10 Some Lessons from Capital Market History Ch 11 Risk and Return PART VII: LONG-TERM FINANCING Ch 12 Cost of Capital Ch 13 Leverage and Capital Structure Ch 14 Dividends and Dividend Policy Ch 15 Raising Capital PART VIII:SHORT-TERM FINANCIAL MANAGEMENT Ch 16 Short-Term Financial Planning Ch 17 Working Capital Management PART IX: TOPICS IN BUSINESS FINANCE Ch 18 International Aspects of Financial Management 適用課程:財務管理 年份:2015 規格:680 / 彩色 / 平裝 定價:1260 ISBN-139789814575171 ISBN-109814575178 教學配件:教學資源光碟(PowerPoint / 教師手冊 / 題庫 / 習題解答) 作者:Stephen A. Ross, Sloan School Randolph W. Westerfield, University of Southern California Jeffrey F. Jaffe, University of Pennsylvania Bradford D. Jordan, University of Kentucky

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Page 1: CORPORATE FINANCE Core Principles and Applications 1/e · 2014-11-13 · Ch 3 International Financial Markets. Ch 4 Exchange Rate Determination [e] Ch 5 Currency Derivatives PART

財務 F

INANCE

30

適用課程:財務管理

年份:2015 規格:647頁 /彩色 /平裝 定價:1160元

ISBN-13:9789814575102 ISBN-10:9814575100

教學配件: 教學資源光碟(PowerPoint /教師手冊 /

題庫 /習題解答)

作者:Stephen A. Ross, Massachusetts Institute of Technology

Randolph W. Westerfield, University of Southern California

Bradford D. Jordan, University of Kentucky Raymond Wong, Chinese University of Hong Kong Ben Wong, Hong Kong Polytechnic University,

Hong Kong Community College

ESSENTIALS OF CORPORATE FINANCE 1/e

y Features1. Learning objectives that are integrated into every chapter.2. Chapter openers addressing corporate finance issues around the world.3. Finance Matters boxes highlighting global finance practice.4. End of chapter cases revisiting important concepts.

y Contents

CORPORATE FINANCECore Principles and Applications 1/e

y Features1. Finance Matters boxes explore recent real-world issues and build upon

concepts in each chapter.2. End-of-Chapter Cases focus on common company situations that embody

important corporate finance topics.

y ContentsPART I: OVERVIEWCh 1 Introduction to Corporate

Finance Ch 2 Financial Statements and

Cash Flow Ch 3 Financial Statements Analysis

and Financial ModelsPART II: VALUATION AND CAPITAL

BUDGETINGCh 4 Discounted Cash Flow

ValuationCh 5 Interest Rates and Bond

Valuation Ch 6 Stock ValuationCh 7 Net Present Value and Other

Investment Rules Ch 8 Making Capital Investment

DecisionsCh 9 Risk Analysis, Real Options,

and Capital BudgetingPART III: RISK AND RETURNCh 10 Risk and Return: Lessons from

Market History

Ch 11 Return and Risk: The Capital Asset Pricing Model (CAPM)

Ch 12 Risk, Cost of Capital, and Valuation

PART IV: CAPITAL STRUCTURE AND DIVIDEND POLICY

Ch 13 Efficient Capital Markets and Behavioral Challenges

Ch 14 Capital Structure: Basic Concepts

Ch 15 Capital Structure: Limits to the Use of Debt

Ch 16 Dividends and Other PayoutsPART V: SPECIAL TOPICSCh 17 Options and Corporate

FinanceCh 18 Short-Term Finance and

PlanningCh 19 Raising CapitalCh 20 International Corporate

FinanceCh 21 Mergers and Acquisitions

(Web only)

PART I: OVERVIEW OF FINANCIAL MANAGEMENT

Ch 1 Introduction to Financial Management

PART II: UNDERSTANDING FINANCIAL STATEMENTS AND CASH FLOW

Ch 2 Financial Statements, Taxes, and Cash Flow

Ch 3 Working with Financial Statements

PART III: VALUATION OF FUTURE CASH FLOWS

Ch 4 Introduction to Valuation: The Time Value of Money

Ch 5 Discounted Cash Flow Valuation

PART IV: VALUING STOCKS AND BONDS

Ch 6 Interest Rates and Bond Valuation

Ch 7 Equity Markets and Stock Valuation

PART V: CAPITAL BUDGETINGCh 8 Net Present Value and Other

Investment CriteriaCh 9 Making Capital Investment

DecisionsPART VI: RISK AND RETURNCh 10 Some Lessons from Capital

Market HistoryCh 11 Risk and ReturnPART VII: LONG-TERM FINANCINGCh 12 Cost of Capital Ch 13 Leverage and Capital StructureCh 14 Dividends and Dividend PolicyCh 15 Raising CapitalPART VIII:SHORT-TERM FINANCIAL

MANAGEMENTCh 16 Short-Term Financial PlanningCh 17 Working Capital ManagementPART IX: TOPICS IN BUSINESS

FINANCECh 18 International Aspects of

Financial Management

適用課程:財務管理

年份:2015 規格:680頁 /彩色 /平裝 定價:1260元

ISBN-13:9789814575171 ISBN-10:9814575178

教學配件: 教學資源光碟(PowerPoint /教師手冊 /

題庫 /習題解答)

作者:Stephen A. Ross, Sloan School Randolph W. Westerfield, University of Southern

California Jeffrey F. Jaffe, University of Pennsylvania Bradford D. Jordan, University of Kentucky

Page 2: CORPORATE FINANCE Core Principles and Applications 1/e · 2014-11-13 · Ch 3 International Financial Markets. Ch 4 Exchange Rate Determination [e] Ch 5 Currency Derivatives PART

31

財務 F

INANCE

PRINCIPLES OF CORPORATE FINANCE 11/e y Contents

PART I: VALUECh 1 Introduction to Corporate FinanceCh 2 How to Calculate Present ValuesCh 3 Valuing BondsCh 4 The Value of Common StocksCh 5 Net Present Value and Other

Investment Criteria Ch 6 Making Investment Decisions

with the Net Present Value RulePART II: RISKCh 7 Introduction to Risk and ReturnCh 8 Portfolio Theory and the Capital

Asset Pricing ModelCh 9 Risk and the Cost of CapitalPART III: BEST PRACTICES IN CAPITAL

BUDGETINGCh 10 Project AnalysisCh 11 Investment, Strategy, and

Economic RentsCh 12 Agency Problems, Compensation,

and Performance MeasurementPART IV: FINANCING DECISIONS AND

MARKET EFFICIENCYCh 13 Efficient Markets and Behavioral

FinanceCh 14 An Overview of Corporate

FinancingCh 15 How Corporations Issue

SecuritiesPART V: PAYOUT POLICY AND CAPITAL

STRUCTURECh 16 Payout PolicyCh 17 Does Debt Policy Matter?

Ch 18 How Much Should a Corpo- ration Borrow?

Ch 19 Financing and ValuationPART VI: OPTIONSCh 20 Understanding OptionsCh 21 Valuing OptionsCh 22 Real OptionsPART VII: DEBT FINANCINGCh 23 Credit Risk and the Value of

Corporate DebtCh 24 The Many Different Kinds of

DebtCh 25 LeasingPART VIII: RISK MANAGEMENTCh 26 Managing RiskCh 27 Managing International RisksPART IX: FINANCIAL PLANNING

AND WORKING CAPITAL MANAGEMENT

Ch 28 Financial AnalysisCh 29 Financial PlanningCh 30 Working Capital ManagementPART X: MERGERS, CORPORATE

CONTROL, AND GOVERNANCECh 31 MergersCh 32 Corporate RestructuringCh 33 Governance and Corporate

Control around the WorldPART XI: CONCLUSIONCh 34 Conclusion: What We Do and Do

Not Know about Finance

INTERNATIONAL FINANCIAL MANAGEMENT (CTE) 12/e

y ContentsPART I: THE INTERNATIONAL

FINANCIAL ENVIRONMENTCh 1 Multinational Financial

Management: An OverviewCh 2 International Flow of Funds [e] Ch 3 International Financial

MarketsCh 4 Exchange Rate Determination

[e] Ch 5 Currency Derivatives PART II: EXCHANGE RATE BEHAVIORCh 6 Government Influence on

Exchange Rates [e] Ch 7 International Arbitrage and

Interest Rate Parity Ch 8 Relationships among Inflation,

Interest Rates, and Exchange Rates

PART III: EXCHANGE RATE RISK MANAGEMENT

Ch 9 Forecasting Exchange Rates [e]

Ch 10 Measuring Exposure to Exchange Rate Fluctuations

Ch 11 Managing Transaction Exposure

Ch 12 Managing Economic Exposure and Translation Exposure [e]

PART IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT

Ch 13 Direct Foreign InvestmentCh 14 Multinational Capital

Budgeting [e] Ch 15 International Corporate

Governance and ControlCh 16 Country Risk Analysis [e] Ch 17 Multinational Capital Structure

and Cost of CapitalCh 18 Long-Term Debt FinancingPART V: SHORT-TERM ASSET AND

LIABILITY MANAGEMENTCh 19 Financing International TradeCh 20 Short-Term FinancingCh 21 International Cash

Management[e] Access these chapters from your

ebook

適用課程:國際財務管理

年份:2015 規格:722頁 /彩色 /平裝 定價:1280元

ISBN-13:9789814617758 ISBN-10:981461775X

教學配件: 教學資源光碟(PowerPoint /教師手冊 /

題庫)

作者:Jeff Madura, Florida Atlantic University

作者:Richard A. Brealey, London Business School Stewart C. Myers, Massachusetts Institute of

Technology Franklin Allen, University of Pennsylvania

適用課程:財務管理

年份:2014 規格:889頁 /彩色 /平裝 定價:1280元

ISBN-13:9780077151560 ISBN-10:0077151569

教學配件: 教學資源光碟(PowerPoint / 教師手冊 /

題庫 / 習題解答)

2015華泰文化圖書目錄 www.hwatai.com.tw

Page 3: CORPORATE FINANCE Core Principles and Applications 1/e · 2014-11-13 · Ch 3 International Financial Markets. Ch 4 Exchange Rate Determination [e] Ch 5 Currency Derivatives PART

財務 F

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32

INVESTMENTS (Annotated Edition) 10/e

y ContentsPART I: INTRODUCTIONCh 1 The Investment EnvironmentCh 2 Asset Classes and Financial

InstrumentCh 3 How Securities Are TradedCh 4 Mutual Funds and Other

Investment CompaniesPART II: PORTFOLIO THEORY AND

PRACTICECh 5 Risk, Return and the Historical:

Record Ch 6 Capital Allocation to Risky

AssetsCh 7 Optimal Risky PortfoliosCh 8 Index ModelsPART III: EQUILIBRIUM IN CAPITAL

MARKETSCh 9 The Capital Asset Pricing

ModelCh 10 Arbitrage Pricing Theory and

Multifactor Models of Risk and Return

Ch 11 The Efficient Market Hypothesis

Ch 12 Behavioral Finance and Technical Analysis

Ch 13 Empirical Evidence on Security Returns

PART IV: FIXED-INCOME SECURITIESCh 14 Bond Prices and YieldsCh 15 The Term Structure of Interest

RatesCh 16 Managing Bond PortfoliosPART V: SECURITY ANALYSISCh 17 Macroeconomic and Industry

AnalysisCh 18 Equity Valuation ModelsCh 19 Financial Statement AnalysisPART VI: OPTIONS, FUTURES, AND

OTHER DERIVATIVESCh 20 Options Markets: IntroductionCh 21 Option ValuationCh 22 Futures MarketsCh 23 Futures, Swaps, and Risk

ManagementPART VII: APPLIED PORTFOLIO

MANAGEMENTCh 24 Portfolio Performance

EvaluationCh 25 International DiversificationCh 26 Hedge FundsCh 27 The Theory of Active Portfolio

ManagementCh 28 Investment Policy and the

Framework of the CFA Institute

FUNDAMENTALS OF INVESTMENTS 7/e Based on user feedback, we have made numerous improvements and

refinements in the seventh edition of Fundamentals of Investments: Valuation and Management. We updated an appendix containing useful formulas. We updated every chapter to reflect current market practices and conditions, and we significantly expanded and improved the end-of-chapter material. Also, our chapters devoted to market efficiency and to behavioral finance continue to rate highly among readers.

y ContentsPART I: INTRODUCTION Ch 1 A Brief History of Risk and

ReturnCh 2 The Investment Process Ch 3 Overview of Security TypesCh 4 Mutual Funds and Other

Investment CompaniesPART II: STOCK MARKETSCh 5 The Stock MarketCh 6 Common Stock ValuationCh 7 Stock Price Behavior and

Market EfficiencyCh 8 Behavioral Finance and the

Psychology of InvestingPART III: INTEREST RATES AND

BOND VALUATIONCh 9 Interest RatesCh 10 Bond Prices and Yields

PART IV: PORTFOLIO MANAGEMENTCh 11 Diversification and Risky

Asset Allocation

Ch 12 Return, Risk, and the Security Market Line

Ch 13 Performance Evaluation and Risk Management

PART V: FUTURES AND OPTIONSCh 14 Futures ContractsCh 15 Stock OptionsPART VI: TOPICS IN INVESRMENTSCh 16 Option ValuationCh 17 Projecting Cash Flow and

EarningsCh 18 Corporate and Government

BondsCh 19 Global Economic Activity

and Industry Analysis Ch 20 Mortgage-Backed Securities

(Web site only)Appendixes A: Answers to Test Your

Investment Quotient Questions

Appendixes B: Answers to Selected Questions and Problems

Appendixes C: Key Equations

作者:Zvi Bodie, Boston University Alex Kane, University of California, San Diego Alan J. Marcus, Boston College導讀:林哲鵬 彰化師範大學企業管理學系副教授

適用課程:投資學

年份:2014 規格:1014頁 /雙色 /平裝 定價:1280元

ISBN-13:9789863411284 ISBN-10:9863411280

教學配件: 教學資源光碟(PowerPoint / 教師手冊 /

題庫 / 習題解答)

作者: Bradford D. Jordan, University of Kentucky Thomas W. Miller, Jr., Mississippi State

University Steven D. Dolvin, Butler University

適用課程:投資學

年份:2015 規格:708頁 / 彩色 / 平裝 定價:1180 元

ISBN-13:9781259253621 ISBN-10:1259253627

教學配件: 教學資源光碟(PowerPoint / 教師手冊 /

題庫 / 習題解答)

Page 4: CORPORATE FINANCE Core Principles and Applications 1/e · 2014-11-13 · Ch 3 International Financial Markets. Ch 4 Exchange Rate Determination [e] Ch 5 Currency Derivatives PART

33

財務 F

INANCE

期貨與選擇權:衍生性金融商品入門經典 四版

y 本書特色一、 最新發展:全面更新統計數據,亦新增部分實務案例、新商品(如

ETF期貨、 TRF等)、市場新發展與趨勢及練習題型。二、 理論與實務配合:唯一適合期貨證照考試的教科書,內容涵蓋期貨

業務員考題近 90%,對欲「學考兩用」之學生相當有利。三、 系統化:從商品種類到評價理論及各種操作策略的說明,讓讀者對

期貨選擇權的「全貌」,能有「系統化」瞭解。

四、 觀念化:使用簡單易懂的公式及圖示,闡述複雜深奧的理論。五、 國際觀:統計資料大多採用全球數據,並輔以國際實例,例如霸菱

銀行倒閉事件 (Box 1.3)、寶鹼公司交換失利個案 (Box 16.2)等。

yy 目錄 作者:黃昱程 中央銀行業務局副研究員 文化大學商學院兼任副教授

適用課程:選擇權與期貨

年份:2015 規格:雙色 /平裝

教學配件: PowerPoint

2015華泰文化圖書目錄 www.hwatai.com.tw

第 1 章 衍生性金融商品概論第 2 章 期貨的意義、種類與功能第 3 章 期貨市場的組織與運作第 4 章 期貨價格的決定第 5 章 期貨的避險策略第 6 章 股價指數期貨第 7 章 利率期貨第 8 章 外匯期貨第 9 章 選擇權市場

第 10 章 選擇權價格第 11 章 選擇權交易策略第 12 章 選擇權評價模型第 13 章 股價指數、外匯與期貨選 擇權

第 14 章 利率選擇權第 15 章 奇異選擇權第 16 章 交換市場第 17 章 其他衍生性金融商品

國際金融:市場、理論與實務 四版

y 本書特色一、 概念化:以深入淺出的筆法闡述國際金融,並輔以大量簡單易懂

的圖、表;另新增「國金小百科」,闡述重要名詞或概念,例如,

離岸人民幣市場 (Ch4)、大麥克指數 (Ch9)等。二、 實際演算:透過「計算範例」方塊,以實際數字來驗算內文理論

或公式。

三、 國際視野:闡述國際金融理論時,儘量會以國際數據或案例予以說明。

四、 理論與實務配合:近 50餘則「理論與實務專題」,讓讀者能將理論融入實務,例如,歐債危機 (Ch1)、美國經常帳赤字與美元匯率

(Ch12)。

yy 目錄

作者:黃昱程 中央銀行業務局副研究員 文化大學商學院兼任副教授

適用課程:國際金融

年份:2015 規格:雙色 /平裝

教學配件: PowerPoint

第 1 章 國際金融體系的近期發展第 2 章 國際收支帳第 3 章 匯率及外匯市場概要(一)第 4 章 匯率及外匯市場概要(二)第 5 章 國際貨幣制度第 6 章 遠期外匯市場第 7 章 外匯選擇權第 8 章 通貨交換、換利及換匯 換利

第 9 章 物價與匯率─購買力平價第 10 章 利率與匯率─資產分析法

第 11 章 中央銀行與外匯干預第 12 章 國際收支失衡的調整第 13 章 開放經濟體的架構第 14 章 固定匯率下之經濟政策 分析

第 15 章 浮動匯率下之經濟政策 分析

第 16 章 政策協調、貨幣同盟與匯 率目標區

第 17 章 國際金融組織與資本移動 等議題

國際金融市場、理論與實務 四版

黃昱程 著

Page 5: CORPORATE FINANCE Core Principles and Applications 1/e · 2014-11-13 · Ch 3 International Financial Markets. Ch 4 Exchange Rate Determination [e] Ch 5 Currency Derivatives PART

財務 F

INANCE

34

財務分析與企業評價 三版Business Analysis and Valuation IFRS Edition 3/e

y 本書特色一、 由產業分析著手,將公司分析立足在產業分析的基礎上,而在公司

分析中以財務報表分析為主軸,貫穿四大分析──經營策略分析、

會計分析、財務分析與前景分析,清楚說明了如何利用財務報表及

各種可得資訊對企業整體表現進行分析。

二、 本版特別說明國際會計準則 (IFRS)的應用,可以幫助讀者快速掌握最新的準則概念與實際應用方法。

三、 詳述如何分析企業的經營架構、經營績效,以及財務體質與風險,並且說明完整的預測與評價程序,讀者熟讀此書不但可以輕鬆進行

財務報表分析,更可掌握財務報表與企業價值間的密切關係。

yy 目錄

第一篇 架構概觀

第 1 章  以財務報表進行企業分析與評價之架構

第二篇 企業分析與評價工具

第 2 章 經營策略分析第 3 章 會計分析第 4 章 會計分析之執行第 5 章 財務分析第 6 章 前景分析:預測第 7 章  前景分析:評價理論

與觀念

第 8 章 前景分析:執行評價

第三篇 企業分析與評價應用

第 9 章 權益證券分析第10章  信用分析與財務危機

預測

第11章 購併第12章 融資政策第13章 對投資人之溝通政策

編譯:郭敏華 世新大學財務金融學系教授作者:Krishna G. Palepu & Paul M. Healy &

Erik Peek

適用課程:企業評價、財務分析與企業評價

年份:2015 規格:464頁 /單色 /平裝 定價:680元

ISBN-13:9789865840709 ISBN-10:9865840707

教學配件:PowerPoint

企業評價 二版 y 本書特色一、 理論實作兼具:除在各單元中論及如何從策略面來改善財務與創

造公司價值之外,亦從整合會計、財務與投資來討論如何具體進

行評價工作,強調評價的技術面。

二、 內容大幅更新:先論述如何將三大報表轉換成「評價觀念下的財務報表」〈重編財務報表〉後,再深度介紹三種評價模式(價格

乘數法、剩餘盈餘折現模式、異常盈餘折現模式),文中更輔以

台積電、聯電等半導體產業的相關分析數據與範例,以及多元的

章末習題演練,培養讀者的評價思維、對問題的看法與處理問題

的能力。

三、 教學資源豐富:除 PowerPoint之外,另備有習題解答、聯電與台

積電的綜合分析範例,以供教師教學使用。

yy 目錄作者:王淑芬 交通大學財務金融研究所副教授

適用課程:國際貿易實務

年份:2015 規格:單色 /平裝

教學配件: 教學資源光碟(PowerPoint / 習題解答 /

綜合範例)

第 1 章 企業評價的概論第 2 章 企業策略與產業分析第 3 章 財務報表與企業評價第 4 章 價值恆等式與財務報表第 5 章 重編資產負債表與企業 評價

第 6 章 重編損益表與企業評價第 7 章 重編現金流量表與自由 現金流量

第 8 章 資金成本的計算第 9 章 財務預測與財務分析第 10 章 價格乘數法第 11 章 股利折現模式第 12 章 自由現金流量評價法第 13 章 剩餘盈餘價值評價模式第 14 章 異常盈餘評價分析第 15 章 反推法第 16 章 綜合範例:以台積電為例

企業評價 二版

王淑芬 著