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Part I - Overview
Chapter 1 - Introduction to Corporate Finance
Chapter 2 - Financial Statements and Cash Flow
Chapter 3 - Financial Statements Analysis and Long-Term Planning
Part II - Valuation and Capital Budgeting
Chapter 4 - Discounted Cash Flow Valuation
Chapter 5 - Net Present Value and Other Investment Rules
Chapter 6 - Making Capital Investment Decisions
Chapter 7 - Risk Analysis, Real Options, and Capital Budgeting
Chapter 8 - Interest Rates and Bond Valuation
Chapter 9 - How to Value Stocks
Part III - Risk
Chapter 10 - Risk and Return: Lessons from Market History
Chapter 11 - Return and Risk: The Capital Asset Pricing Model
Chapter 12 - An Alternative View of Risk and Return: The Arbitrage Pricing Theory
Chapter 13 - Risk, Cost of Capital, and Valuation
Part IV - Capital Structure and Dividend Policy
Chapter 14 - Efficient Capital Markets and Behavioral Challenges
Chapter 15 - Long-Term Financing: An Introduction
Chapter 16 - Capital Structure: Basic Concepts
Chapter 17 - Capital Structure: Limits to the Use of Debt
Chapter 18 - Valuation and Capital Budgeting for the Levered Firm
Chapter 19 - Dividends and Other Payouts
Part V - Long-Term Financing
Chapter 20 - Raising Capital
Chapter 21 - Leasing
Part VI - Options, Futures, and Corporate Finance
Chapter 22 - Options and Corporate Finance
Chapter 23 - Options and Corporate Finance: Extensions and Applications
Chapter 24 - Warrants and Convertibles
Chapter 25 - Derivatives and Hedging Risk
Part VII - Short-Term Finance
Chapter 26 - Short-Term Finance and Planning
Chapter 27 - Cash Management
Chapter 28 - Credit and Inventory Management
Part VIII - Special Topics
Chapter 29 - Mergers and Acquisitions
Chapter 30 - Financial Distress
Chapter 31 - International Corporate Finance
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