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Book Synopsis Taxmann's Financial Management – A Self-Sufficient Treatise presenting Concepts & Theories underlying Financial Management in a Systematic, Precise & Analytical Manner by : Dr. R. P. Rustagi
Download or read book Taxmann's Financial Management – A Self-Sufficient Treatise presenting Concepts & Theories underlying Financial Management in a Systematic, Precise & Analytical Manner written by Dr. R. P. Rustagi and published by Taxmann Publications Private Limited. This book was released on 2021-11-11 with total page 40 pages. Available in PDF, EPUB and Kindle. Book excerpt: Maximization of shareholders' wealth within the risk-return set-up of the firm is the unifying concept of the textbook. The objective of this book is two-fold: • Present concepts, models and theories of finance in a simple, comprehensive and lucid form • Help practising managers to apply these concepts in dealing with operational situations This book aims to fulfil the requirement of students preparing for professional exams conducted by ICAI, ICSI, ICWAI & students of post-graduate courses in commerce and management. This book will also be helpful for financial executives in updating the knowledge about current thinking and developments taking place in financial management. The Present Publication is the 6th Revised & Reprint Edition, authored by Dr. R.P. Rustagi, with the following noteworthy features: • [Simple, Systematic & Comprehensive Explanation] The subject matter is presented in a simple, systematic method along with a comprehensive explanation of the concept and theories underlying financial management. The book tries to explain the subject matter in terms of realistic and practical examples. • [Student-Oriented Book] This book has been developed, keeping in mind the following factors: o Interaction of the author/teacher with their students in the classroom o Shaped by the author/teachers experience of teaching the subject-matter at different levels for more than three decades o Reaction and responses of students have also been incorporated at different places in the book • [Practical Solutions] The problems the financial managers may face and the decisions they must make have been explained in terms of this objective and the risk-return trade-off • [Indian Capital Market in a Capsuled Form] Analysis & discussion on the changing structure of Indian Capital Markets • [Highlights & Summaries] of every chapter have been provided in the form of Points to Remember • [Latest Question Papers, 600+ Examples & Graded Illustrations] have been updated throughout the book • [Case Studies] are provided in this book dealing with various areas of Working Capital Management with selected hints • [Financial Decision Making through EXCEL] is explained with the help of several numerical examples from different topics • The scope of the following chapter has been broadened: o Treasury Management o Calculation of β, Portfolio Evaluation. Sharpe Index, Treynor Index, etc. o Valuation of Futures and Swaps and Credit Derivatives o Appendix 9A: Real Options and Capital Budgeting o Miller's preposition on Capital Structure o Pecking Order Theory; Project Financing and Project β o Lintner Model, Clientele Effect o Sources of Foreign Capital, Euro Issues, ADRs, GDRs, etc. o External Funds Requirement o Fisher Effect, Covered Interest Arbitrage, Use of Futures and Options to manage Foreign Exchange Risk o Securities Lending Scheme, Green Shoe Option, Indian Depository Receipts, Demutualization of Stock Exchanges, Terms commonly used in Capital Market. • The structure of this book is as follows: o Points to Remember o Graded Illustrations o Object Type Questions (True/False) o Multiple Choice Questions o Assignments o Problems (Unsolved Questions with Answers) • Contents of this book are as follows: o Part I – Background o Part II – Valuation and Risk Management o Part II – Long-Term Investment Decisions: Capital Budgeting o Part IV – Financing Decision o Part V – Divided Decision o Part VI – Management of Current Assets o Part VII – Long-Term Finance and Financial Services o Part VIII – Financial Analysis and Planning o Part IX – Miscellaneous Topics o Part X – Indian Capital Market
Book Synopsis Taxmann's Fundamentals of Financial Management (UGCF | NEP) – Student-oriented book with an authoritative and clear presentation of the essential concepts, procedures, and practices | B.Com. by : Dr. R.P. Rustagi
Download or read book Taxmann's Fundamentals of Financial Management (UGCF | NEP) – Student-oriented book with an authoritative and clear presentation of the essential concepts, procedures, and practices | B.Com. written by Dr. R.P. Rustagi and published by Taxmann Publications Private Limited. This book was released on 2024-07-18 with total page 27 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book offers an authoritative and clear presentation of financial management's essential concepts, procedures, and practices. It is designed to cover the fundamental principles, making it accessible to a broad range of students. The focus is on financial decision-making to maximise firm value and shareholder wealth. The material is presented in a non-mathematical and non-technical manner, informed by classroom interactions, teaching experiences, and student feedback. This textbook is especially beneficial for students pursuing B.Com. (Hons.) in the IIIrd and Vth semesters at the University of Delhi. It is also suitable for students in the Non-Collegiate Women's Education Board, the School of Open Learning at the University of Delhi, and other central universities throughout India. The content aligns with the National Education Policy (NEP), ensuring its relevance and applicability to current educational standards. The Present Publication is the 19th Edition, authored by Dr R.P. Rustagi, with the following noteworthy features: • [Concise Synopsis] Each chapter begins with a synopsis, offering a clear overview of the content, ensuring that readers can quickly grasp the main ideas and structure of the chapter • [Points to Remember] At the end of every chapter, a summary is provided in the form of 'Points to Remember', which helps students to recap and reinforce the key concepts covered • [Illustrative Examples] The book is rich with numerous examples and solved graded illustrations that clarify complex concepts and provide practical applications of financial management principles • [University Examination Questions] Incorporates questions that have appeared in university examinations at appropriate places, ensuring that students are well-prepared for their assessments • [MCQs] Multiple Choice Questions at the end of every chapter to test comprehension and facilitate self-assessment • [Excel Applications] Financial decision-making through Excel is explained with the help of several numerical examples from different topics, enhancing practical understanding and application The structure of this book is as follows • Synopsis (Chapter Plan) • Main Body (Contents) • Points to Remember • Graded Illustrations • Object Type Questions (True/False) • Multiple Choice Questions • Theoretical Assignments • Problems (Unsolved Questions with Answers) Contents of this book are as follows: • Background o Financial Management – An Introduction § Evolution of finance as a discipline, highlighting its development and integration over time § Scope of the finance function, including an overview of financial decision-making and its impact on different groups § Basic propositions and axioms of financial management, emphasising foundational concepts § Overview of the financial system and environment in India § Points to Remember, Objective Type Questions, Multiple Choice Questions, Assignments to reinforce learning o The Mathematics of Finance § Concept and relevance of financial mathematics § Techniques of compounding and discounting to calculate present and future values § Applications of the time value of money (TVM) in various financial decisions § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to practice mathematical concepts • Long-Term Investment Decisions o Capital Budgeting – An Introduction § Features and significance of capital budgeting in long-term investment decisions § Problems and difficulties encountered in the capital budgeting process § Types of capital budgeting decisions and their implications for fund availability § Incremental approach to cash flows, including the treatment of depreciation and non-cash items § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to solidify understanding o Techniques of Evaluation § Evaluation of capital budgeting proposals using various techniques § Traditional or non-discounting techniques: Payback Period and Accounting Rate of Return (ARR) § Discounted Cash Flow (DCF) techniques: Net Present Value (NPV), Internal Rate of Return (IRR), Modified Internal Rate of Return (MIRR), Profitability Index (PI), and Discounted Payback Period § Risk analysis in capital budgeting, including conventional techniques and selecting appropriate methods § Capital budgeting with unequal lives of proposals § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to apply evaluation methods • Financing Decision o Cost of Capital § Concept and significance of the cost of capital in financial decision-making § Factors affecting the cost of capital and its measurement § Types of cost of capital: cost of long-term debt, preference share capital, equity share capital, and retained earnings § Weighted Average Cost of Capital (WACC) and Marginal Cost of Capital § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments for practical application o Leverage Analysis § Concept of leverage and its importance in financial management § Types of leverage: operating leverage, financial leverage, and combined leverage § Impact of leverage on a firm's profitability and risk § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to analyse leverage effects o EBIT-EPS Analysis § Relationship between EBIT (Earnings Before Interest and Taxes) and EPS (Earnings Per Share) under different financing patterns § Financial break-even analysis and indifference point/level § Limitations of EBIT-EPS analysis in decision-making § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to explore different financing options o Leverage, Cost of Capital, and Value of the Firm § Theories on the relationship between capital structure, cost of capital, and firm value § Net Income Approach: Capital structure matters § Net Operating Income Approach: Capital structure does not matter § Traditional Approach: A practical viewpoint § Modigliani-Miller Model – Behavioural justification of the NOI Approach, including the arbitrage process and MM Model with taxes § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to understand capital structure theories o Capital Structure: Planning and Designing § Factors determining the capital structure of a firm § Profitability and capital structure through EBIT-EPS analysis § Liquidity and capital structure using cash flow analysis § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, and Assignments to design optimal capital structures • Dividend Decision o Dividend Decision and Valuation of the Firm § Concept and significance of dividend policy § Models explaining the relevance of dividend policy: Walter's Model and Gordon's Model § Irrelevance theories: Residual theory of dividends and Modigliani-Miller Approach § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to evaluate dividend policies o Determinants and Constraints § Factors influencing dividend payout ratios and stability of dividends § Different dividend policies: constant payout ratio, steady dividends per share, and extra dividends § Legal and procedural considerations, including scrip dividends and bonus shares § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to understand dividend policy determinants • Management of Current Assets o Planning and Management of Working Capital § Understanding the operating cycle and its impact on working capital needs § Factors determining working capital requirements and policies for managing current assets § Financing of current assets and monitoring working capital § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments for working capital management o Estimation and Calculation § Methods for estimating working capital requirements based on net sales, total assets, and operating cycle § Techniques for accurate calculation and management of working capital § Points to Remember, Graded Illustrations, Assignments to apply estimation methods o Management of Cash and Marketable Securities § Motives for holding cash and theoretical frameworks for cash management § Planning and controlling cash flows, managing float, and electronic fund transfers § Models for optimal cash balance, including Baumol's Model and Miller-Orr Model § Management of marketable securities for liquidity § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments for cash management strategies o Receivables Management § Costs and benefits of receivables management § Credit policies, evaluation, and control of receivables § Methods for evaluating credit policies and managing credit risk § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments for receivables management o Inventory Management § Types of inventories and reasons for holding them § Costs associated with inventory, including stock-out costs § Techniques for inventory management, such as ABC analysis and Economic Order Quantity (EOQ) § Re-order levels, safety stock, and quantity discounts § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments for inventory control techniques • Valuation of Securities o Valuation of Securities § Concept and significance of securities valuation § Basic valuation models and required rates of return § Valuation of bonds, including semi-annual interest and yield to maturity (YTM) § Valuation of convertible debentures, deep discount bonds, preference shares, and equity shares § Methods for valuing equity shares based on accounting information, dividends, and earnings § Points to Remember, Graded Illustrations, Objective Type Questions, Multiple Choice Questions, Assignments to practice valuation techniques • Appendices o Appendix I § Financial Decision-Making with Excel – Practical examples and exercises using Excel for financial decision-making o Appendix II § Past Year Question Papers – Suggested answers to practical questions from previous financial management exams at the University of Delhi o Appendix III § Mathematical Tables – Useful for quick reference and calculations
Book Synopsis Taxmann's CRACKER for Financial Management & Business Data Analytics (Paper 11 | FMDA) – Covering Past Exam Questions & Answers | Tabular Summaries | CMA Intermediate | New Syllabus | Dec. 2024 Exam by : CA Tarun Agarwal
Download or read book Taxmann's CRACKER for Financial Management & Business Data Analytics (Paper 11 | FMDA) – Covering Past Exam Questions & Answers | Tabular Summaries | CMA Intermediate | New Syllabus | Dec. 2024 Exam written by CA Tarun Agarwal and published by Taxmann Publications Private Limited. This book was released on 2024-07-15 with total page 18 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is specifically designed to meet the requirements of the Intermediate Level Cost & Management Accountancy Examination. It includes past exam questions and detailed answers aligned with the latest ICMAI syllabus. The Present Publication is the 3rd Edition for the CMA Intermediate | New Syllabus | Dec. 2024/June 2025 Exam. This book is authored by CA Tarun Agarwal, with the following noteworthy features: • [Strictly Adheres to the New ICMAI Syllabus] Ensuring complete alignment with the latest requirements • [Comprehensive Coverage] o Past Exam Questions – Includes questions from the CMA-Intermediate | June 2024 Exam, divided into: § Part I – Objective Questions (MCQs, Blanks, True/False, Match, and Short Sums) § Part II – Descriptive Questions § Part III – Numerical Problems o Chapter Introductions – Covering important definitions, concepts, and formulas o Sample Questions – For newly introduced topics in the syllabus • [Tabular Summaries] Provided at the beginning of each chapter for quick reference • [Marks Distribution] Detailed chapter-wise distribution from June 2017 onwards • [Previous Exam Trend Analysis] Provided from July 2023 • [ICMAI Study-Material Comparison] Given module-wise for a comprehensive understanding The contents of this book are as follows: • Fundamentals of Financial Management • Institutions and Instruments in Financial Markets • Tools for Financial Analyses • Sources of Finance and Cost of Capital • Capital Budgeting • Working Capital Management • Financing Decision of a Firm • Introduction to Data Science for Business Decision-making • Data Processing, Organisation, Cleaning and Validation • Data Presentation: Visualisation and Graphical Presentation • Data Analysis and Modelling
Book Synopsis Taxmann's Financial Management | Theory | Problems | Cases – Blend of theory & practical application, following a business-oriented approach enabling readers to analyze company reports effectively by : Ravi M. Kishore
Download or read book Taxmann's Financial Management | Theory | Problems | Cases – Blend of theory & practical application, following a business-oriented approach enabling readers to analyze company reports effectively written by Ravi M. Kishore and published by Taxmann Publications Private Limited. This book was released on 2023-09-26 with total page 45 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book adopts an enhanced business-oriented methodology for teaching and learning financial management. Aimed at fostering an in-depth and comprehensive understanding of the subject, it takes a holistic approach that melds theory with practical applications to real-world scenarios. The structure of this book is meticulously designed to elaborate on the diverse principles and techniques of financial management. Upon completion, readers will be equipped to scrutinize the annual reports of various companies and analyze the information more effectively. This book is designed for individuals seeking to understand financial management's core principles and theories. Primarily, it is tailored for postgraduate students enrolled in business schools. Additionally, undergraduate students pursuing B.Com. (Hons.), B.Com. (Prog.), and B.A. (Prog.) from various universities and professional institutes will also find this book beneficial. The Present Publication is the 9th Edition, authored by Ravi M. Kishore and Prof. (Dr) Padma Sai Arora, with the following noteworthy features: • [Principles and Techniques of Financial Management] are explained in a detailed manner • [Easy-to-understand Style] has been followed throughout the book to explain the concepts in detail • [Extensive Descriptive Explanations] are presented in this book, followed by figures and diagrams • [Cases to Prepare the Base for Financial Principles and Concepts] is included in each of the six parts • [Case Studies] at the end of each chapter is easy to relate to and has been prepared to make way for discussions • [Solved Miscellaneous Illustrations] are given for better understanding • [Practice Questions] Readers can test their knowledge after going through each chapter by solving practice questions • [Multiple Choice Questions (MCQs)] have also been incorporated to help prepare for quiz/assignment • [Learning in line with Industry Trends] has been incorporated in this book by giving annual reports of different companies The chapter-wise schematics of the book are as follows: • Learning Outcomes • Case Study • Concepts • Keywords • Summary • Miscellaneous Illustrations • Review Questions o True or False o Choose the Correct Word o Choose the Correct Answer o Discussion Questions • Practical Exercises • Case Study The detailed contents of the book are as follows: • Essentials of Financial Management o Financial Management – An Overview o Basic Valuation Concepts – Time Value of Money, Interest Rates, Valuation of Bonds and Risk-Return Analysis o Strategic Financial Planning • Analysis of Financial Position o Analysis of Financial Statements o State of Changes in Financial Position – Fund Flow Analysis o Financial Statement Analysis using Cash Flow Analysis o Financial Statement Analysis using Ratio Analysis o Financial Statement Analysis using Economic Value Added o Financial Statement Analysis using Financial and Operating Ratios • Investment Decision o Capital Budgeting o Risk Evaluation in Capital Budgeting • Financing Decisions o Cost of Capital and Impact on Firm's Earnings Per Share (EPS) o Capital Structure Theories and Value of Firm • Dividend Decisions o Dividend Theories and Value of Firm • Working Capital Management o Basics of Working Capital o Estimating Working Capital o Inventory Management o Receivables Management o Cash Management
Book Synopsis Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc. by : Prof. Madhu Vij
Download or read book Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc. written by Prof. Madhu Vij and published by Taxmann Publications Private Limited. This book was released on 2021-12-10 with total page 21 pages. Available in PDF, EPUB and Kindle. Book excerpt: International Financial Management provides an effective and detailed presentation of important concepts and practical application in today’s global business environment, which includes: • Foreign Exchange Market • International Financial System • Eurocurrency Market • Currency Futures & Options • Swaps • Country Risk Analysis • Capital Budgeting The key highlight of this book is that it uses several examples (both numerical & theoretical) to highlight the applications of various dimensions of international finance. This book aims to fulfil the requirement of students of PGDM, MBA, M.Com., Master of Economics, Master of Finance & Control (MFC), MIB, other Post Graduate Diploma in Risk Management & other post-graduate specialized disciplines. The Present Publication is the 4th Edition, authored by Prof. Madhu Vij. The book has been organized around five major areas, namely: • [International Financial Environment] emphasizing its institutional set-up while discussing why is it important to study international finance. This area is further subdivided into four chapters, namely: o Overview of the International Financial Management o History of International Monetary System; Emphasis on Bretton Woods System o International Financial Institutions with a particular focus on the World Bank, International Monetary Fund (IMF), and European Monetary System o Balance of Payment Concepts and Accounting • [The Foreign Exchange Markets] o Derivatives o Foreign Currency Futures and Options Contracts that are traded on Stock Exchanges o Forex Markets with an emphasis on Fundamentals of Forex Trading, Overview of Operations of the Spot and Foreign Exchange Markets, How is Foreign Exchange Quoted and Traded Worldwide • [Managing Foreign Exchange Exposure] o Management of Foreign Exchange Risk with a discussion on kinds of exposure MNCs face o Translation Exposure or Accounting Exposure, which discusses the various methods for translating financial statements o Management of Transaction Exposure that arises from contractual obligations denominated in a foreign currency o Management of Economic Exposure • [Financial Management of the Multinational Firm] o Foreign Direct Investment o Cost of Capital and Capital Structure of the MNC o Application and Interpretation of MNC Capital Budgeting explaining various methods with the help of numerical examples and case studies o Multinational Cash Management o Identifies and Analyses the Various Dimensions of Country Risk Analysis o Eurocurrency and Eurobond Market • [Managing Foreign Operations] o Interest Rate and Currency Swaps explaining how they can be used to reduce financing costs and risks o Global Depository Receipts and American Depository Receipts
Book Synopsis Taxmann's CRACKER for Financial Management & Strategic Management (Paper 6 | FM and SM | FM SM) – Covering sub-topic-wise past exam questions & answers | CA-Inter | New Syllabus | Sept. 2024 Exam by : CA Namit Arora
Download or read book Taxmann's CRACKER for Financial Management & Strategic Management (Paper 6 | FM and SM | FM SM) – Covering sub-topic-wise past exam questions & answers | CA-Inter | New Syllabus | Sept. 2024 Exam written by CA Namit Arora and published by Taxmann Publications Private Limited. This book was released on 2024-06-19 with total page 19 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is prepared exclusively for the Intermediate Level of Chartered Accountancy Examination requirement. It covers the past exam questions & detailed answers strictly as per the new syllabus of ICAI. The Present Publication is the 7th Edition for CA-Inter | New Syllabus | Sept. 2024/Jan. 2025 Exams. This book is authored by CA Namit Arora and CA Vivek Panwar, with the following noteworthy features: • Strictly as per the New Syllabus of ICAI • [Comprehensive Coverage] o Solved Past Exam Questions, including: § Solved Paper: May 2024 Exam (Suggested Answers) o Solved Model Test Papers (MTPs) based on the CA Exam Pattern • [Sub-Topic-wise Questions and Detailed Answers] for easy understanding • Chapter-wise Summary Notes with Relevant Formulae • [Chapter-wise Marks Distribution] from Nov. 2023 • [Exam Trend Analysis] for previous exams, including the May 2024 exam • Chapter-wise Comparison with ICAI Study Material The contents of this book are as follows: • Financial Management o Scope and Objectives of Financial Management o Types of Financing o Financial Analysis and Planning – Ratio Analysis o Cost of Capital o Financial Decisions – Capital Structure o Financial Decisions – Leverages o Investment Decision/Capital Budgeting o Dividend Decisions o Management of Working Capital • Strategic Management o Introduction to Strategic Management o Strategic Analysis – External Environment o Strategic Analysis – Internal Environment o Strategic Choices o Strategy Implementation and Evaluation
Book Synopsis Taxmann's CRACKER for Financial Management & Economics for Finance (Paper 8 | FM & ECO) – Covering sub-topic-wise past exam questions & detailed answers | CA-Inter | Nov. 2023 Exam by : CA Namit Arora
Download or read book Taxmann's CRACKER for Financial Management & Economics for Finance (Paper 8 | FM & ECO) – Covering sub-topic-wise past exam questions & detailed answers | CA-Inter | Nov. 2023 Exam written by CA Namit Arora and published by Taxmann Publications Private Limited. This book was released on 2023-06-12 with total page 19 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is prepared exclusively for the Intermediate Level of Chartered Accountancy Examination requirement. It covers the questions & detailed answers strictly as per the new syllabus of ICAI. The Present Publication is the 5th Edition for CA-Inter | Nov. 2023 Exam. This book is authored by CA Namit Arora, with the following noteworthy features: • Strictly as per the New Syllabus of ICAI • Coverage of this book includes: o All Past Exam Questions, including: § Solved Paper: December 2021 (Suggested Answers) § Solved Paper: May 2022 (Suggested Answers) § Solved Paper: Nov. 2022 (Suggested Answers) § Solved Paper: May 2023 (Suggested Answers) o Questions from RTPs and MTPs of ICAI o Solved Model Test Papers on CA Exam Pattern • [Sub-Topic-wise Question/Detailed Answers] Coverage of questions with detailed answers for easy understanding • [Summary Notes with Relevant Formulae] are provided Chapter-wise • [Chapter-wise Marks Distribution] for past exams for each Chapter from Nov. 2016 onwards • [Previous Exam Trend Analysis] for Past Papers from May 2019 onwards Contents of this book are as follows: • Financial Management (60 Marks) o Scope and Objectives of Financial Management o Types of Financing o Financial Analysis and Planning – Ratio Analysis o Cost of Capital o Financial Decisions – Capital Structure o Financial Decisions – Leverages o Investment Decision/Capital Budgeting o Risk Analysis in Capital Budgeting o Dividend Decisions o Management of Working Capital • Economics for Finance (40 Marks) o Determination of National Income o Public Finance o Money Market o International Trade
Book Synopsis FINANCIAL MANAGEMENT by : Ravi M. Kishore
Download or read book FINANCIAL MANAGEMENT written by Ravi M. Kishore and published by . This book was released on 2007-01-01 with total page 1432 pages. Available in PDF, EPUB and Kindle. Book excerpt: A Comprehensive and authentic textbook on Financial Management for MBA/M.Com/CA Final/CS Final/ICWA Final * Lucid and comprehensive presentation of the complex and advanced subject matter, will help the students in easy understanding. * The book takes account of recent developments on the subject with special emphasis on Financial Markets, Mergers and Acquisitions, Project Management, International Financial Management, Investment Management, Portfolio Theory, Corporate Restructuring, WTO, Corporate Governance, etc. * Concepts are explained with number of illustrations and diagrams for clear understanding of subject matter. Statistical data is provided wherever possible. * Summary of the subject matter is given at the end of each chapter and theoretical questions covering all aspects of the subject are given at the end of each chapter. * The concepts are explained with simple illustrations, Comprehensive illustrations are given for advanced study. * Number of practical exercises, as well as hints of answer are given at the end of each chapter for self study. * The syllabus of all major universities and professional institutions is covered. * The book is suggested for preparation for the following course papers: MBA, M.Com. Financial Management, Financial Markets, Corporate Restructuring, Working Capital Management, Project Management, Investment Management and Portfolio Theory, Treasury Management, International Financial Management etc. CA Final Management Accounting and Financial Analysis. ICWA Final (1) Advanced Financial Management & International Finance (2) Management Accounting - Financial Strategy & Reporting
Book Synopsis Taxmann's CRACKER for Corporate Accounting & Financial Management (Paper 4 | CAFM | CA & FM) – Covering past exam questions & answers | CS Executive | New Syllabus | Dec. 2024 Exams by : CS N.S. Zad
Download or read book Taxmann's CRACKER for Corporate Accounting & Financial Management (Paper 4 | CAFM | CA & FM) – Covering past exam questions & answers | CS Executive | New Syllabus | Dec. 2024 Exams written by CS N.S. Zad and published by Taxmann Publications Private Limited. This book was released on 2024-07-09 with total page 19 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is prepared exclusively for the Executive Level of Company Secretary Examination requirement as per the New Syllabus. It covers the questions (topic-wise) questions & detailed answers strictly as per the latest examination pattern The Present Publication is the 3rd Edition for the CS-Executive | New Syllabus | Dec. 2024/June 2025 Exams. This book is authored by CS N.S. Zad, with the following noteworthy features: • Strictly as per the New Syllabus of ICSI • [Comprehensive Coverage] o Past Exam Questions (Topic-wise), including: § CS Executive June 2024 | Suggested Answers o Multiple Choice Questions (MCQs) • [Most Amended & Updated] as per the provisions of the Companies Act 2013 • [Chapter-wise Marks Distribution] from June 2019 • [Exam Trend Analysis] for previous exams, from Dec. 2023 • Chapter-wise Comparison with ICSI Study Material The contents of this book are as follows: • Part A – Corporate Accounting o Introduction to Accounting o Introduction to Corporate Accounting o Accounting Standards o Accounting for Share Capital o Accounting for Debentures o Related Aspects of Company Accounts o Consolidation of Accounts o Financial Statement Analysis o Cash Flow Statement o Forecasting Financial Statements • Part B – Financial Management o Introduction to Financial Management o Time Value of Money o Capital Budgeting o Cost of Capital o Capital Structure & Leverages o Dividend Decisions o Working Capital Management o Security Analysis o Operational Approach to Financial Decision
Book Synopsis Taxmann’s Working Capital Management – Comprehensive & Authentic book along-with Points to Remember, Graded Illustrations, Objective & Multiple Choice Questions, Assignments, Problems & Case Studies by : Dr. R.P. Rustagi
Download or read book Taxmann’s Working Capital Management – Comprehensive & Authentic book along-with Points to Remember, Graded Illustrations, Objective & Multiple Choice Questions, Assignments, Problems & Case Studies written by Dr. R.P. Rustagi and published by Taxmann Publications Private Limited. This book was released on 2021-04-26 with total page 37 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is a comprehensive & authentic book on ‘Working Capital Management’. This book aims to fulfill the requirement of students of MBA/M.Com./PGDM/CFA & other Postgraduate Courses in Commerce and Management. This book aims to fill the gap between theory and practice of working capital management. The finance managers will find the text worthwhile in their pursuit of updating the knowledge about current thinking & developments taking place in the area of working capital management. The Present Publication is the Reprint 2021 Edition, authored by Dr. R.P. Rustagi, with the following noteworthy features: • The subject-matter is presented in a simple, systematic method along with comprehensive explanation of the concept and theories underlying working capital management. The book tries to present the subject-matter in a non-mathematical and non-technical way • [Student-Oriented Book] This book has been developed, keeping in mind the following factors: 𝚘 Interaction of the author/teacher with his/her students in the class-room 𝚘 Shaped by the author/teachers experience of teaching the subject-matter at different levels 𝚘 Reaction and responses of students have also been incorporated at different places in the book • [Illustrations & Diagrams] are used to explain the concepts for a clear understanding of the subject-matter • [Practices Prevailing in India] have been referenced throughout the text • [300+ Objective Type & Multiple Choice Questions] are given at the end of different Chapters • [200+ Examples & Graded Illustrations] have been incorporated throughout the book • Question appeared in Latest Question Papers have been incorporated at appropriate places • [Real Life Case Studies] have been incorporated on various aspects of Working Capital Management • Incorporates separate chapters on Funds Flow Statement, Cash Flow Statement and Bank Finance for Working Capital Requirement The detailed contents of the book are as follows: • Working Capital | Planning and Estimation 𝚘 Working Capital | Introduction 𝚘 Working Capital | Operating Cycle 𝚘 Working Capital | Estimation and Calculation • Measurement and Analysis of Liquidity 𝚘 Measuring Liquidity | Ratio Analysis 𝚘 Working Capital Flow | Funds Flow Statement 𝚘 Analysing Liquidity Flow | Cash Flow Statement • Current Assets Management 𝚘 Management of Cash and Marketable Securities 𝚘 Receivables Management 𝚘 Inventory Management • Working Capital Financing 𝚘 Financing of Working Capital and the Banking Policy • Case Studies in Working Capital Management 𝚘 Okara Foods & Beverages Ltd. 𝚘 Indo-Swiss Watches Ltd. 𝚘 Aeron Adventures Ltd. 𝚘 Price Waterhouse Consultancy and Allied Services 𝚘 Dataware Computer Ltd. 𝚘 Kamat Engineering Works Ltd. 𝚘 Viptanu Housing Infrastructure Ltd. 𝚘 Good Apparels Ltd.
Book Synopsis Business Taxation and Financial Decisions by : Deborah Schanz
Download or read book Business Taxation and Financial Decisions written by Deborah Schanz and published by Springer Science & Business Media. This book was released on 2010-10-17 with total page 415 pages. Available in PDF, EPUB and Kindle. Book excerpt: Managerial decisions are considerably influenced by taxes: e.g. the choice of location, buying or leasing decisions, or the proper mix of debt and equity in the company's capital structure increasingly demand qualified employees in an economic environment that is becoming more and more complex. Due to the worldwide economic integration and constant changes in tax legislation, companies are faced with new challenges – and the need for information and advice is growing accordingly. This book's goal is to identify and quantify possible tax effects on companies' investment strategies and financing policies. It does not focus on details of tax law, but instead seeks to address students and practitioners focusing on corporate finance, accounting, investment banking and strategy consulting.
Book Synopsis Financial management of the company with change drivers by : Jarmo Manninen
Download or read book Financial management of the company with change drivers written by Jarmo Manninen and published by BoD - Books on Demand. This book was released on 2024-10-15 with total page 126 pages. Available in PDF, EPUB and Kindle. Book excerpt: Why do too many companies never achieve their objectives? Why do so many companies make losses every year? Why is it that the capacity of companies is not really being used to its full potential? Why are companies' resources and investments not really being used to their full potential? Why do company staff not really know how their efforts affect the company's performance? Why do company staff not know how and in what way they can change their actions to influence the company's performance? I have written the solutions to these problems in four books in my book series, entitled: “KOKO YRITYKSEN KAPASITEETTI TEHOKÄYTTÖÖN” (= MAKING THE MOST OF YOUR COMPANY’S CAPACITY), “YRITYKSEN VOIMAVARAT HYÖTYKÄYTTÖÖN – YHTEISVOIMIN” (= MAKING THE MOST OF YOUR COMPANY’S RESOURCES – WORKING TOGETHER), “RESURSSIEN TULOKSILLA YRITYKSEN TAVOITETULOKSEEN” (= USING RESOURCES TO ACHIEVE THE COMPANY’S TARGET RESULTS) and “FINANCIAL MANAGEMENT OF THE COMPANY WITH CHANGE DRIVERS”. These books provide the solutions to what entrepreneurs need to do to help their businesses achieve their goals on a consistent basis.
Book Synopsis Strategic Financial Management by : Ravi M. Kishore
Download or read book Strategic Financial Management written by Ravi M. Kishore and published by . This book was released on 2011 with total page 1208 pages. Available in PDF, EPUB and Kindle. Book excerpt:
Book Synopsis Tax-aware Investment Management by : Douglas S. Rogers
Download or read book Tax-aware Investment Management written by Douglas S. Rogers and published by . This book was released on 2006 with total page 301 pages. Available in PDF, EPUB and Kindle. Book excerpt: "Illustrates how investment strategies for tax-exempt accounts don't work for individuals subject to taxes. Offers techniques for comparing tax-efficiency of mutual funds, hedge funds, and investment managers, and presents more-sophisticated strategies for offsetting gains against losses in wealth planning, portfolio management, and estate planning. Includes results of historical research, 100 tables and charts"--Provided by publisher.
Book Synopsis The Retirement Savings Time Bomb . . . and How to Defuse It by : Ed Slott
Download or read book The Retirement Savings Time Bomb . . . and How to Defuse It written by Ed Slott and published by Penguin. This book was released on 2012-01-03 with total page 467 pages. Available in PDF, EPUB and Kindle. Book excerpt: "The best source of IRA advice" (The Wall Street Journal), extensively revised and updated for new tax rules With the possible exception of home property, the most valuable asset for most Americans is their retirement fund. Yet most people don't know how to avoid the costly mistakes that cause a good chunk of those savings to be lost to needless and excessive taxation. Now, in this fully updated edition of The Retirement Savings Time Bomb, renowned tax advisor Ed Slott explains in clear-cut layman's terms what people need to know to keep their money and pass it on to their families. This book is for every American with savings who is planning to retire.
Book Synopsis Standard for Automatic Exchange of Financial Account Information in Tax Matters, Second Edition by : OECD
Download or read book Standard for Automatic Exchange of Financial Account Information in Tax Matters, Second Edition written by OECD and published by OECD Publishing. This book was released on 2017-03-27 with total page 326 pages. Available in PDF, EPUB and Kindle. Book excerpt: This publication contains the following four parts: A model Competent Authority Agreement (CAA) for the automatic exchange of CRS information; the Common Reporting Standard; the Commentaries on the CAA and the CRS; and the CRS XML Schema User Guide.
Book Synopsis The New Retirement Savings Time Bomb by : Ed Slott
Download or read book The New Retirement Savings Time Bomb written by Ed Slott and published by Penguin. This book was released on 2021-03-02 with total page 450 pages. Available in PDF, EPUB and Kindle. Book excerpt: AS SEEN ON PUBLIC TELEVISION New for 2021—The complete action plan from Ed Slott, "the best source of IRA advice" (Wall Street Journal), to help you make sure your 401(k)s, IRAs, and retirement savings aren't depleted by taxes by the time you need to use them. If you're like most Americans, your most valuable asset is your retirement fund. We diligently save money for years, yet most of us don't know how to avoid the costly mistakes that cause a good chunk of those savings to be lost to needless and excessive taxation. Now, in the midst of a financial crisis, there is more need than ever to protect your assets. The New Retirement Savings Time Bomb, by renowned tax advisor Ed Slott, shows you in clear-cut layman's terms how to take control over your retirement savings plan. This easy-to-follow plan helps you place your assets to avoid the latest traps set out by congress in addition to any that might be set down the road, so you can keep your hard-earned money no matter what. And, it's fully up-to date with information on the SECURE Act and everything you need to know about how the coronavirus relief bills will affect your savings down the road. This book is required reading for every American with savings and investments who is planning to retire, be it five years from now or fifty.