Capital Structuring (Risk Management Series: Corporate Finance)

Capital Structuring (Risk Management Series: Corporate Finance)

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Brian Coyle
Global Professional Publishing
Edition: Revised, 25/10/2001
EAN 9780852974599, ISBN10: 0852974590

Paperback, 126 pages, 23.2 x 16 x 2 cm

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 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. --This text refers to an alternate Hardcover edition.