The book Finance for Executives: A Practical Guide for Managers meets the needs of global executives, both finance as well as non-financial managers. It is a practical and fundamental finance reference book for any manager, as it makes a perfect balance of financial management theory and practice. It focuses on corporate finance concepts from value creation to derivatives, including cost of capital (and WACC), valuation, financing policies, project evaluation, and many other essential finance definitions.
Finance for Executives makes finance simple and intuitive, through the use of real world data (brief company case studies and empirical examples of concepts), Excel financial modelling tools, and practical short chapters.
Target Audience
This finance book is appropriate for business executives, from all backgrounds, seeking to
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Nuno Fernandes is Professor of Finance and Director of Strategic Finance at IMD, a top ranked business school. IMD is ranked No. 1 in executive education programs worldwide by the Financial Times. At IMD, Professor Fernandes directs the Strategic Finance program, as well as many in-company programs for leading international companies. These programs target finance experts, as well as non-financial managers from different backgrounds and job functions. Professor Fernandes is a specialist in corporate finance, cost of capital estimations, project evaluations, valuation, international financial markets, and emerging market risks. He has published in the leading international academic journals, including the Journal of Financial Economics, Review of Financial Studies, Journal of International Business Studies, and the Journal of Portfolio Management. He speaks at business conferences in Asia, Europe, and North America, and is a regular contributor to the business press worldwide, including The Financial Times and The Wall Street Journal. Professor Fernandes advises companies and financial institutions in Asia, Europe, Latin America, and the Middle East in formulating winning financial strategies, global portfolio investments, international valuations, mergers and acquisitions (M&As), derivatives usage in risk management, and emerging market investments and valuation.
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Paperback Feb 22, 2014. Condizione: gebraucht; wie neu. minimalste Spuren, wie ungelesen. Codice articolo 562-4-17
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