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Strategic Financial Management (For C.A. Final) - A Comprehensive Guide [New Syllabus] - With Nov. 2018 Paper

Strategic Financial Management (For C.A. Final) - A Comprehensive Guide [New Syllabus] - With Nov. 2018 Paper

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Description
»    Concept Oriented Approach
»    Examination Oriented
»    Comprehensive Coverage of CA Final Syllabus
»    Large Number of Examples
»    Large Number of Solved Problems
»    Exercises for Self Evaluation
»    Model Paper for Practice
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Contents
Preface
Syllabus
Examination - Chapter wise break up
Suggested Answers - Nov. 2018
Suggested Answers - May 2018
Section I
1.    Financial Policy and Corporate Strategy
2.    Indian Financial System
3.    Risk Management
Section II
4.    Valuation of Preference Shares, Warrants and Rights
5.    Valuation of Bonds
6.    Fixed Income Portfolio Management
7.    Equity Analysis & Valuation
8.    Equity Portfolio Management
9.    Alternative Investment Strategies
Section III
10.  Securitization
11.  Mutual Funds
12.  Equity Derivatives — Futures
13.  Equity Derivatives — Options
14.  Commodity Derivatives
Section IV
15.  International Finance - 1 — Foreign Exchange Markets
16.  International Finance - 2 — Parity Theorems & Exchange Rate Determination
17.  International Finance - 3 — Measuring & Managing Foreign Exchange Exposures
18.  International Finance - 4 — International Financial Management
19.  International Finance - 5 — International Working Capital Management
20.  Interest Rate Risk Management
21.  Real Options
Section V
22.  Corporate Valuation
23.  Mergers & Acquisitions
24.  Corporate Restructuring & Takeovers
Section VI
25.  International Finance Centre and Islamic Finance
26.  Startup Finance
27.  Venture Capital Financing
28.  Small and Medium Enterprises
Appendixes
A.    Important Short Questions
B.    Present Value Tables
C.    Interpolation
D.    Logarithms & Exponentials
E.    Normal Distribution Table
F.    Natural Logarithm & Exponential Tables
G.    Model Paper
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Author Details
A. N. Sridhar
is a finance professional who has wide experience of more than three decades in various fields including banking, forex markets, money market, mutual funds, stock and derivatives markets. Being a highly experienced professional, the author has used his practical knowledge to explain several concepts of financial management in a simple and lucid manner. Owing to experience in teaching, he has been able to express even the complex topics in a short and easily understandable form. He believes that perfection in any work can only be attained with the mastery of concepts. He has also authored books on Futures & Options and Operations Research. The author can be accessed through email at: an_sridhar@hotmail.com
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