دخول:
المنهج السعودي
المنهج العراقي
المنهج المصري
الفصل:
1
2
3
المنهج السعودي
المنهج العراقي
المنهج المصري
الفصل:
1
2
3
Business Finance 1-2
Business Finance 1-2 - ثاني ثانوي
Chapter 1: An Introduction to Financial Markets
An Introduction to Financial Markets
1.1 Markets
1.2 The Mechanics of Investing in Securities
1.3 Special Security Purchases
1.4 Measures of Securities Prices
1.5 Foreign Securities
1.6 Competition in the Securities Markets
Summary 1
Chapter 2: Opportunity Costs and the Time Value of Money
Opportunity Costs and the Time Value of Money
2.1 Opportunity Costs
2.2 The Future Value of a Single Amount
2.3 The Future Value of a Series of Amounts (Annuity)
2.4 The Present Value of a Single Amount
2.5 The Present Value of a Series of Amounts (Annuity)
2.6 Other Time Value of Money Situations
Summary 2
Chapter 3: Risk and Its Measurements
Risk and Its Measurements
3.1 Risk
3.2 The Return on an Investment
3.3 The Sources of Risk
3.4 Risk Measurements
3.5 Risk Management Strategies
Summary 3
Chapter 4: Stock and Bonds
Stock and Bonds
4.1 Sources of Funding
4.2 Common Stock
4.3 Dividend Policy
4.4 Preferred Stock
4.5 Bonds
4.6 Retiring Debt
Summary 4
Chapter 5: Cost of Capital
Cost of Capital
5.1 Cost of Capital Components
5.2 A Weighted-Average Cost of Capital
5.3 The Optimal Capital Structure
5.4 Other Capital Structure Issues
Summary 5
Chapter 1: An Introduction to Financial Markets
An Introduction to Financial Markets
1.1 Markets
1.2 The Mechanics of Investing in Securities
1.3 Special Security Purchases
1.4 Measures of Securities Prices
1.5 Foreign Securities
1.6 Competition in the Securities Markets
Summary 1
Chapter 2: Opportunity Costs and the Time Value of Money
Opportunity Costs and the Time Value of Money
2.1 Opportunity Costs
2.2 The Future Value of a Single Amount
2.3 The Future Value of a Series of Amounts (Annuity)
2.4 The Present Value of a Single Amount
2.5 The Present Value of a Series of Amounts (Annuity)
2.6 Other Time Value of Money Situations
Summary 2
Chapter 3: Risk and Its Measurements
Risk and Its Measurements
3.1 Risk
3.2 The Return on an Investment
3.3 The Sources of Risk
3.4 Risk Measurements
3.5 Risk Management Strategies
Summary 3
Chapter 4: Stock and Bonds
Stock and Bonds
4.1 Sources of Funding
4.2 Common Stock
4.3 Dividend Policy
4.4 Preferred Stock
4.5 Bonds
4.6 Retiring Debt
Summary 4
Chapter 5: Cost of Capital
Cost of Capital
5.1 Cost of Capital Components
5.2 A Weighted-Average Cost of Capital
5.3 The Optimal Capital Structure
5.4 Other Capital Structure Issues
Summary 5
تصفح الكتاب
تصفح مع الشروح
تحميل الكتاب