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Daftar ISI : Financial Management Brigham Daves

Part I: FUNDAMENTAL CONCEPTS.


1. An Overview of Financial Management.
2. Risk and Return: Part I.
3. Risk and Return: Part II.
4. Bond Valuation.
5. Basic Stock Valuation.
6. Financial Options.
7. Accounting for Financial Management.
8. Analysis of Financial Statements.
Part II: Corporate Valuation.
9. Financial Planning and Forecasting Financial Statements.
10. Determining the Cost of Capital.
11. Corporate Value and Value-Based Management.
Part III: PROJECT VALUATION.
12. Capital Budgeting: Decision Criteria.
13. Capital Budgeting: Estimating Cash Flows and Analyzing Risk.
14. Real Options.
Part IV: STRATEGIC FINANCING DECISIONS.
15. Capital Structure Decisions: Part I.
16. Capital Structure Decisions: Part II.
17. Distributions to Shareholders: Dividends and Repurchases.
Part V: TACTICAL FINANCING DECISIONS.
18. Initial Public Offerings, Investment Banking, and Financial Restructuring.
19. Lease Financing.
20. Hybrid Financing: Preferred Stock, Warrants, and Convertibles.
Part VI: WORKING CAPITAL MANAGEMENT.
21. Working Capital Management.
22. Providing and Obtaining Credit.
23. Other Topics in Working Capital Management.
Part VII: SPECIAL TOPICS.
24. Derivatives and Risk Management.
25. Bankruptcy, Reorganization, and Liquidation.
26. Mergers, LBOs, Divestitures, and Holding Companies.
27. Multinational Financial Management.
WEB CHAPTERS.
28. Time Value of Money.
29. Basic Financial Tools: A Review.
30. Pension Plan Management.
31. Financial Management in Not-for-Profit Businesses.

Daftar Isi Dasar Financial Management buku 2: Brigham & Houston

Bagian 4 Penganggaran Modal


Bab 10 Biaya Modal
Bab 11 Dasar-Dasar Penganggaran Modal
Bab 12 Estimasi Arus Kas dan Analisis Risiko
Bab 13 Opsi Riil dan Topik Lainya dalam Penganggaran Modal
Bagian 5 struktur Modal dan Kebijakan Dividen
Bab 14 Struktur Modal dan Leverage
Bab 15 Distribusi Kepada Pemegang Saham : Dividen dan Pembelian Kembali Saham
Bagian 6 Modal Kerja dan Perencanaan Keuangan
Bab 16 Manajemen Modal Kerja
Bab 17 Perencanaan dan Peramalan Keuangan
Bagian 7 Topik-topik Khusus dalam Manajemen Keuangan
Bab 18 Derivatif dan Manajemen Risiko

Table of contents: Organizational Behaviour: Improving Performance and


Commitment in
the Work place
Colquit
Part I: Introduction to Organizational Behaviour
Chapter 1: What is Organizational Behaviour?
Chapter 2: Job Performance
Chapter 3: Organizational Commitment
Part II: Individual Mechanisms
Chapter 4: Job Satisfaction
Chapter 5: Stress
Chapter 6: Motivation

Chapter 7: Trust, Justice, and Ethics


Chapter 8: Learning and Decision Making
Part III: Individual Characteristics and Group Mechanisms
Chapter 9: Personality, Cultural Values, and Ability
Chapter 10: Teams, Diversity and Communication
Chapter 11: Power, Influence, and Negotiation
Chapter 12: Leadership Styles and Behaviour
Part IV: Organizational Mechanisms
Chapter 13: Organizational Structure
Chapter 14: Organizational Culture and Change

Risk Management Semester 4


Part I Introduction
Ch. 1 Why Are Financial Institutions Special?
Appendix 1A The Financial Crisis: The Failure of Financial Services
Institution Specialness (online)
Appendix 1B Monetary Policy Tools (online)
Ch. 2 Financial Services: Depository Institutions
Appendix 2A Financial Statement Analysis Using a Return on Equity
(ROE) Framework (online)
Appendix 2B Commercial Banks Financial Statements and Analysis
(online)
Appendix 2C Depository Institutions and Their Regulators (online)
Appendix 2D Technology in Commercial Banking (online)
Ch. 3 Financial Services: Finance Companies
Ch. 4 Financial Services: Securities Brokerage and Investment
Banking
Ch. 5 Financial Services: Mutual Funds and Hedge Funds
Ch. 6 Financial Services: Insurance
Ch. 7 Risks of Financial Institutions

Part II Measuring Risk


Ch. 8 Interest Rate Risk I
Appendix 8A The Maturity Model (online)
Appendix 8B Term Structure of Interest Rates
Ch. 9 Interest Rate Risk II
Appendix 9A The Basics of Bond Valuation (online)
Appendix 9B Incorporating Convexity into the Duration Model

Ch. 10 Credit Risk: Individual Loan Risk


Appendix 10A Credit Analysis (online)
Appendix 10B Black-Scholes Option Pricing Model (online)
Ch. 11 Credit Risk: Loan Portfolio and Concentration Risk
Appendix 11A CreditMetrics
Appendix 11B CreditRisk+
Ch. 12 Liquidity Risk
Appendix 12A Sources and Uses of Funds Statement, Bank of
America, March 2012 (online)
Ch. 13 Foreign Exchange Risk
Ch. 14 Sovereign Risk
Appendix 14A Mechanisms for Dealing with Sovereign Risk Exposure
Ch. 15 Market Risk
Ch. 16 Off-Balance-Sheet Risk
Appendix 16A A Letter of Credit Transaction (online)
Ch. 17 Technology and Other Operational Risks

Part III Managing Risk


Ch. 18 Liability and Liquidity Management
Appendix 18A Federal Reserve Requirement Accounting (online)
Appendix 18B Bankers Acceptances and Commercial Paper as
Sources of Financing (online)
Ch. 19 Deposit Insurance and Other Liability Guarantees
Appendix 19A Calculation of Deposit Insurance Premiums
Appendix 19B FDIC Press Releases of Bank Failures (online)
Appendix 19C Deposit Insurance Coverage for Commercial Banks in
Various Countries (online)
Ch. 20 Capital Adequacy
Appendix 20A Internal Ratings-Based Approach to Measuring Credit
Risk-Adjusted Assets
Appendix 20B Methodology Used to Determine G-SIBs Capital
Surcharge (online)
Ch. 21 Product and Geographic Expansion
Appendix 21A EU and G-10 Countries: Regulatory Treatment of the
Mixing of Banking, Securities, and Insurance Activities and the
Mixing of Banking and Commerce (online)
Ch. 22 Futures and Forwards
Appendix 22A Microhedging with Futures (online)
Ch. 23 Options, Caps, Floors, and Collars
Appendix 23A Black-Scholes Option Pricing Model (online)
Appendix 23B Microhedging with Options (online)

Ch. 24 Swaps
Appendix 24A Setting Rates on an Interest Rate Swap
Ch. 25 Loan Sales
Ch. 26 Securitization
Appendix 26A Fannie Mae and Freddie Mac Balance Sheets (online)
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