Mastering the Fundamentals of Finance : Building Skills and Intuition
by
Larry Gorman
Book Details
Format
Paperback / Softback
ISBN-10
1793516073
ISBN-13
9781793516077
Publisher
Cognella, Inc
Imprint
Cognella, Inc
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Apr 30th, 2021
Print length
916 Pages
Weight
333 grams
Dimensions
27.90 x 21.50 x 4.50 cms
Ksh 25,750.00
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Presents students with a revolutionary approach to learning finance. Casting aside the traditional approach of providing a broad overview with valuation playing a distant secondary role, the text reverses the emphasis so that growth-focused valuation skills and the explicit development of intuition are emphasized.
Mastering the Fundamentals of Finance: Building Skills and Intuition presents students with a revolutionary approach to learning finance. Casting aside the traditional approach of providing a broad overview with valuation playing a distant secondary role, the text reverses the emphasis so that growth-focused valuation skills and the explicit development of intuition are emphasized.
The text features a unique modular design with twelve chapters supported by over thirty optional appendices. This unique structure allows students and instructors the flexibility to adjust their level of exposure to various topics, making the text appropriate for use at a wide range of universities.
In Part I, students develop critical valuation skills with an emphasis on cash flow growth and the impact of inflation. Part II explores how cash flows are estimated for the three most popular investments categories: assets, debt, and equity. Part III discusses how to estimate risk-adjusted discount rates for the pricing of assets, debt, and equity. Logically sequenced end-of-chapter problems, insightful follow-up commentaries, color-coded multi-line mathematics, and high-quality cash flow timelines support learning and mastery.
Field tested for over seven years prior to publication, Mastering the Fundamentals of Finance is highly effective and suitable for any introductory finance course.
The text features a unique modular design with twelve chapters supported by over thirty optional appendices. This unique structure allows students and instructors the flexibility to adjust their level of exposure to various topics, making the text appropriate for use at a wide range of universities.
In Part I, students develop critical valuation skills with an emphasis on cash flow growth and the impact of inflation. Part II explores how cash flows are estimated for the three most popular investments categories: assets, debt, and equity. Part III discusses how to estimate risk-adjusted discount rates for the pricing of assets, debt, and equity. Logically sequenced end-of-chapter problems, insightful follow-up commentaries, color-coded multi-line mathematics, and high-quality cash flow timelines support learning and mastery.
Field tested for over seven years prior to publication, Mastering the Fundamentals of Finance is highly effective and suitable for any introductory finance course.
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