Capital Structuring
9%
OFF
Available
 
About the Book
The "Glenlake Series in Risk Management" strives for simplicity, clarity, and ease of application on the complex subject of risk management. As every business academic and professional knows, risk management--whether for new products/services, transaction, interest rate, currency, cashflow, credit, or market risk--is now regarded as the most important business tool. This series involves time-tested training tools--whether for classroom application or individual study. Each title in the series makes extensive use of case studies, adapted specifically for a sophisticated international audience.
The topics covered in this title covers include: quantifying the need for funds from outside the business; an overview of the various funding options available to managers; equity funding; debt funding; hybrid financial instruments; models on the optimal capital structure; debt profile management; refinancing; glossary of terms.
Book Details
ISBN-13: 9781579582548
EAN: 9781579582548
Publisher Date: 01 Jan 2000
Binding: HARDCOVER
Book Type: Academic_Level
Country Of Origin: United Kingdom
Dewey: 658.15
Height: 235 mm
Illustrations: Illustrations
MediaMail: Y
Pagination: 150 pages, Illustrations
Returnable: N
Spine Width: 19 mm
Year Of Publication: 2001
ISBN-10: 1579582540
Publisher: Routledge
Acedemic Level: Academic_Level
Bood Data Readership Text: Professional & Vocational
Continuations: English
Depth: 19
Gardner Classification Code: B00
Illustration: Y
Language: English
No of Pages: 138
PrintOnDemand: N
Series Title: Glenlake series in risk management
Width: 165 mm