Finance essentials the practitioners's guide

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Veröffentlicht: London Bloomsbury 2012
Ausgabe:standard ed., 1. publ.
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adam_text Titel: Finance essentials Autor: Moeller, Scott Jahr: 2012 Contents Introduction viii Procedures for Reporting Financial Risk 101 Contributor Biographies xii in Islamic Finance, by Daud Vicary Abdullah and Ramesh Pillai BEST PRACTICE Starting a Successful Internal Audit Function to Meet 103 Balance Sheets and Cash Flow Present and Future Demands, by Jeffrey Ridley Best-Practice Working Capital Management: Techniques 2 What Are the Leading Causes of Financial 108 for Optimizing Inventories, Receivables, and Payables, Restatements?, by Todd DeZoort by Patrick Buchmann and Udo Jung Best Practices in Cash Flow Management and Reporting, 7 Funding and Investment by Hans-Dieter Scheuermann Acquiring a Secondary Listing, or Cross-Listing, 112 Capital Budgeting: The Dominance of Net Present Value, 12 by Meziane Lasfer by Harold Bierman, Jr Assessing Venture Capital Funding for Small and 114 Comparing Net Present Value and Internal Rate of 16 Medium-Sized Enterprises, by Alain Fayolle and Return, by Harold Bierman, Jr Joseph LiPuma Fair Value Accounting: SFAS 157 and IAS 39, 19 Asset Allocation Methodologies, by Tom Coyne 117 by Kevin Ow Yong Equity Issues by Listed Companies: Rights Issues 123 Introduction to Islamic Financial Risk Management 23 and Other Methods, by Seth Armitage Products, by Qudeer Latif and Susi Crawford Financial Steps in an IPO for a Small or Medium-Size 126 Investment Risk in Islamic Finance, by Kamal 27 Enterprise, by Hung-Gay Fung Abdelkarim Hassan and Hassan Ahmed Yusuf Viewpoint: Investing in a Volatile Environment: A Black 129 Managing Counterparty Credit Risk, by David Shimko 31 Swan Perspective, by Javier Estrada Managing Interest Rate Risk, by Will Spinney 34 IPOs in Emerging Markets, by Janusz Brzeszczynski 131 Navigating a Liquidity Crisis Effectively, 38 Managing Activist Investors and Fund Managers, 134 by Klaus Kremers by Leslie L. Kossoff Pension Schemes: A Unique and Unintended Basket of 41 Measuring Company Exposure to Country Risk, 136 Risks on the Balance Sheet, by Amarendra Swarup by Aswath Damodaran Quantifying Corporate Financial Risk, by David Shimko 45 Measuring Country Risk, by Aswath Damodaran 139 Risk Management of Islamic Finance Instruments, 48 Minimizing Credit Risk, by Frank J. Fabozzi 142 by Andreas Jobst Optimizing the Capital Structure: Finding the 145 To Hedge or Not to Hedge, by Steve Robinson 53 Right Balance between Debt and Equity, Using Structured Products to Manage Liabilities, 57 by Meziane Lasfer by Shane Edwards Price Discovery in IPOs, by Jos van Bommel 148 Valuing Pension Fund Liabilities on the Balance Sheet, 60 Rigidity in Microfinancing: Can One Size Fit All?, 151 by Steven Lowe by Dean Karlan and Sendhil Mullainathan The Role of Institutional Investors in Corporate 154 Financial Regulation and Compliance Financing, by Hao Jiang Aligning the Internal Audit Function with Strategic 63 The Role of Short Sellers in the Marketplace, 158 Objectives, by Ilias G. Basioudis by Raj Gupta Classification and Treatment of Leases, by Roger Lister 66 Understanding Equity Capital in Small and 164 Contemporary Developments in International Auditing 70 Medium-Sized Enterprises, by Siri Terjesen Regulation, by Christopher Humphrey and Anne Loft Understanding the True Cost of Issuing Convertible 169 Continuous Auditing: Putting Theory into Practice, 74 Debt and Other Equity-Linked Financing, by Norman Marks by Roger Lister Effective Financial Reporting and Auditing: Importance 81 and Limitations, by Andrew Higson Governance and Ethics Engaging Senior Management in Internal Control, 84 Balancing Senior Management Compensation 173 by Philip Ratcliffe Arrangements with Shareholders Interests, How Can Internal Audit Report Effectively to Its 86 by Henrik Cronqvist Stakeholders?, by Andrew Cox Best Practices in Corporate Social Responsibility, 175 How to Implement a Standard Chart of Accounts 90 by Alison Kemper and Roger Martin Effectively, by Aziz Tayyebi Business Ethics, by Sue Newell 179 Implementing an Effective Internal Controls System, 93 Corporate Board Structures, by Vidhan Goyal 182 by Andrew Chambers CSR: More than PR, Pursuing Competitive Advantage 187 Incorporating Operational and Performance 97 in the Long Run, by John Surdyk Auditing into Compliance and Financial Auditing, Dividend Policy: Maximizing Shareholder Value, 190 by Andrew Cox by Harold Bierman, Jr Executive Rewards: Ensuring That Financial Rewards 194 CHECKLISTS Match Performance, by Shaun Tyson Balance Sheets and Cash Flow Human Risk: How Effective Strategic Risk Management 198 Assessing Cash Flow and Bank Lending 292 Can Identify Rogues, by Thomas McKaig Requirements Identifying the Right Nonexecutive Director, 201 Estimating Enterprise Value with the Weighted 293 by Terry Carroll Average Cost of Capital Improving Corporate Profitability Through 204 Hedging Liquidity Risk—Case Study and Strategies 294 Accountability, by Marc J. Epstein and Priscilla Wisner How to Manage Your Credit Rating 295 Role of Internal Auditing at Board Committee Level, 207 Identifying and Managing Exposure to Interest and 296 by Sridhar Ramamoorti Exchange Rate Risks Managing Risk in Islamic Finance 297 Mergers and Acquisitions Managing Working Capital 298 Acquisition Integration: How to Do It Successfully, 211 Measuring Liquidity 299 by David Sadtler Preparing a Cash Flow Forecast 301 Coping with Equity Market Reactions to M A 213 Setting Up a Dividend Policy 302 Transactions, by Scott Moeller Swaps, Options, and Futures: What They Are and 303 Due Diligence Requirements in Financial Transactions, 216 Their Function by Scott Moeller Understanding and Calculating the Total Cost of Risk 304 Going Private: Public-to-Private Leveraged Buyouts, 220 Understanding Asset-Liability Management 305 by Luc Renneboog (Full Balance Sheet Approach) Identifying and Minimizing the Strategic Risks from 224 Understanding Capital Structure Theory: Modigliani 306 M A, by Peter Howson and Miller Joint Ventures: Synergies and Benefits, by Siri Terjesen 227 Understanding the Cost of Capital and the Hurdle Rate 307 Leveraged Buyouts: What, Why, When, and How, 230 Understanding the Relationship between the Discount 308 by Scott S. Johnson Rate and Risk Maximizing a New Strategic Alliance, by Peter Killing 233 Understanding the Weighted Average Cost of 309 Maximizing Value when Selling a Business, 235 Capital (WACC) by John Gilligan Valuing Start-Ups, by Aswath Damodaran 239 Financial Regulation and Compliance Why Mergers Fail and How to Prevent It, 243 Avoiding Conflict of Interest in Internal Audits 311 by Susan Cartwright Choosing an External Auditor 312 Establishing a Framework for Assessing Risk 313 Operations and Performance Internal Audit Charters 3*4 Aligning Structure with Strategy: Recalibrating for 246 Internal Auditing for Fraud Detection and Prevention 315 Improved Performance and Increased Profitability, International Financial Reporting Standards (IFRS): 3*6 by R. Brayton Bowen The Basics Business Continuity Management: How to Prepare 249 Key Competencies for Internal Auditors 3J-7 for the Worst, by Andrew Hiles The Key Components of an Audit Report 3J8 Countering Supply Chain Risk, by Vinod Lall 253 MiFID—Its Development and Aims 3*9 Creating Value with EVA, by S. David Young 255 Preparing Financial Statements: Balance Sheets 320 Employee Stock Options, by Peter Casson 258 Preparing Financial Statements: Profit and Loss 321 Essentials for Export Success: Understanding 260 Accounts (P Ls) How Risks and Relationships Lead to Rewards, The Role of the Audit Committee 322 by Paul Beretz Understanding Internal Audits 324 Five Routes to Greater Profitability for Small and 264 What Is Forensic Auditing? 325 Medium Enterprises, by Thomas McKaig The Impact of Climate Change on Business, 267 Funding and Investment by Graham Dawson Analysis Using Monte Carlo Simulation 327 Political Risk: Countering the Impact on Your 270 Applying the Gordon Growth Model 32 Business, by Ian Bremmer Calculating Total Shareholder Return 329 Real Options: Opportunity from Risk, by David Shimko 273 Islamic Microfinance 33° Reducing Costs through Production and Supply Chain 276 Obtaining an Equity Value Using the Weighted 331 Management, by Vinod Lall Average Cost of Capital (WACC) Understanding Reputation Risk and Its Importance, 279 Sovereign Wealth Funds—Investment Strategies and 332 by Jenny Rayner Objectives Using Decision Analysis to Value R D Projects, 282 Steps for Obtaining Bank Financing 333 by Bert De Reyck Understanding and Using Leverage Ratios 335 Using Financial Analysis to Evaluate Strategy, 287 Understanding Fixed-Charge Coverage 336 by David Sadtler Using Dividend Discount Models 337 Governance and Ethics Contribution Margin 381 Conflicting Interests: The Agency Issue 338 Conversion Ratio 382 Creating a Sustainable Development Policy 339 Creditor and Debtor Days 383 Creating Executive Compensation 340 Current Ratio 383 Defining Corporate Governance: Its Aims, Goals, 341 Debt/Equity Ratio 384 and Responsibilities Depreciation 385 Directors Duties: A Primer 342 Discounted Cash Flow 386 Governance Practices in Family-Owned Firms 343 Distinguishing between a Capital and an 387 Social Return on Investment 345 Operating Lease Understanding Economic Efficiency Theory 346 Dividend Yield 388 Earnings per Share 389 Mergers and Acquisitions EBITDA 390 M A Regulations: A Global Overview 348 Economic Value Added 391 Management Buyouts 349 Enterprise Value 391 Planning the Acquisition Process 350 Fair Value Calculations 392 Planning the Disposal Process 351 Future Value 393 Structuring and Negotiating Joint Ventures 352 Goodwill and Patents 393 Understanding Anti-Takeover Strategies 354 Gross Profit Margin Ratio 394 Using the Market-Value Method for Acquisitions 355 Interest Coverage 395 Internal Rate of Return 396 Operations and Performance Liquidity Ratio Analysis 396 Applying Stress-Testing to Business Continuity 357 Management Accounts 397 Management Marginal Cost 398 Appraising Investment Opportunities 358 Market/Book Ratio 399 Assessing Business Performance 359 Net Added Value (NAV) and Adjusted NAV 400 Assessing the Value of Outsourcing and Offshoring 360 Net Present Value 400 Basic Steps for Starting a Business 361 Nominal and Real Interest Rates 401 Creating a Risk Register 362 Option Pricing 402 Identifying Your Continuity Needs 363 Payback Period 403 Managing Bankruptcy and Insolvency 365 Payout Ratio 404 Nonperformance and Breach of Contract 366 Price/Earnings Ratio 405 Understanding Real Options 367 Rate of Return 406 Understanding Strategy Maps 368 Residual Value 407 What Is Benchmarking? 369 Return on Assets 408 Return on Investment 408 CALCULATIONS AND RATIOS Return on Stockholders Equity 409 Accounts Receivable Turnover 372 Risk-Adjusted Rate of Return 410 Alpha and Beta Values of a Security 372 Time Value of Money 411 Amortization 373 Total Return 411 Annual Percentage Rate 374 Treynor Ratio 412 Asset Turnover 375 Value at Risk 413 Asset Utilization 375 Weighted Average Cost of Capital 414 Basis Point Value 376 Working Capital Cycle 414 Bond Yield 377 Yield 416 Book Value 378 Capital Asset Pricing Model 379 DICTIONARY 417 Capital Expenditure 380 Capitalization Ratios 380 INDEX 609
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spellingShingle Finance essentials the practitioners's guide
title Finance essentials the practitioners's guide
title_auth Finance essentials the practitioners's guide
title_exact_search Finance essentials the practitioners's guide
title_full Finance essentials the practitioners's guide [ed. by Scott Moeller...]
title_fullStr Finance essentials the practitioners's guide [ed. by Scott Moeller...]
title_full_unstemmed Finance essentials the practitioners's guide [ed. by Scott Moeller...]
title_short Finance essentials
title_sort finance essentials the practitioners s guide
title_sub the practitioners's guide
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