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STRATEGIC FINANCIAL MANAGEMENT FOR C.A. FINAL SRIDHAR, A.N.

By: Publication details: SHROFF PUBLISHERS & DISTRIBUTORS PVT. LTD. 2012 MUMBAIEdition: 10Description: XXIV PAPERISBN:
  • 978-93-5023-946-9
Subject(s):
Contents:
Preface Syllabus Exam Paper Analysis Nov 2012 Exam – Suggested Solution 1. Strategic Financial Management 2. Project Planning & Risk Analysis in Capital Budgeting 3. Dividend Decision 4. Capital Markets 5. Bond Markets 6. Equity Analysis & Valuation 7. Portfolio Theory & Management 8. Derivatives – Futures 9. Derivatives – Options 10. Financial Services 11. Mutual Funds 12. Money Markets 13. Credit Rating 14. International Finance -1 – Foreign Exchange Markets 15. International Finance -2 – Parity Theorems & Exchange Rate Determination 16. International Finance -3 – Measuring & Managing Foreign Exchange Exposures 17. International Finance -4 – Multinational Working Capital Management 18. International Finance -5 – Foreign Currency Instruments & Foreign Investments 19. Interest Rate Derivatives & Swaps 20. Mergers & Acquisitions 21. Corporate Restructuring & Takeovers 22. Commodity Derivatives APPENDIXES A. 100 Important Short Questions B. Quick refresher formulae C. Present Value Tables D. Interpolation E. Logarithms & Exponentials F. Normal Distribution Table G. Natural Logarithm & Exponential Tables H. Model Papers MINI CART Your cart is empty. MINI WISHLIST Your wishlist is empty. Shipping Policy | Disclaimer
Summary: Features Latest CA Final paper suggested solution Exam Paper analysis summary table Concept Oriented approach Examination oriented Wide coverage of syllabus Comprehensive coverage of theory topics Large number of examples Large number of solved problems Exercises for self evaluation Three model papers for practice List of short questions for study Quick refresher formulae for all topics Tools like log, normal distribution, interpolation etc. explained
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Preface
Syllabus
Exam Paper Analysis
Nov 2012 Exam – Suggested Solution

1. Strategic Financial Management
2. Project Planning & Risk Analysis in Capital Budgeting
3. Dividend Decision
4. Capital Markets
5. Bond Markets
6. Equity Analysis & Valuation
7. Portfolio Theory & Management
8. Derivatives – Futures
9. Derivatives – Options
10. Financial Services
11. Mutual Funds
12. Money Markets
13. Credit Rating
14. International Finance -1 – Foreign Exchange Markets
15. International Finance -2 – Parity Theorems & Exchange Rate Determination
16. International Finance -3 – Measuring & Managing Foreign Exchange Exposures
17. International Finance -4 – Multinational Working Capital Management
18. International Finance -5 – Foreign Currency Instruments & Foreign Investments
19. Interest Rate Derivatives & Swaps
20. Mergers & Acquisitions
21. Corporate Restructuring & Takeovers
22. Commodity Derivatives

APPENDIXES
A. 100 Important Short Questions
B. Quick refresher formulae
C. Present Value Tables
D. Interpolation
E. Logarithms & Exponentials
F. Normal Distribution Table
G. Natural Logarithm & Exponential Tables
H. Model Papers

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MINI WISHLIST

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Shipping Policy | Disclaimer

Features

Latest CA Final paper suggested solution
Exam Paper analysis summary table
Concept Oriented approach
Examination oriented
Wide coverage of syllabus
Comprehensive coverage of theory topics
Large number of examples
Large number of solved problems
Exercises for self evaluation
Three model papers for practice
List of short questions for study
Quick refresher formulae for all topics
Tools like log, normal distribution, interpolation etc. explained

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