Ravi Kishore Book

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Ravi Kishore Practice Book

Ch 5 : Ratio Analysis : Computation and comparison Of Ratios ( Page 1 )


Ch 6 : Ratio Analysis : Preparation of Projected Financial Statements ( Page 34 )
Ch 7 : Analysis of Operating and Financial Leverages ( Page 58 )
Ch 8 : Funds Flow Analysis ( Page 127,128 Missing ) ( Page 129 )
Ch 9 : Cash Flow Analysis ( Page 123 )
Ch 10 : Time Value of Money ( Page 157 )
Ch 11 : Cost of Capital ( Page 163 )
Ch 12 : Capital Structure Decisions ( Page 202 )
Ch 13 : Value of Firm under Capital Structure Theories ( Page 239 )
Page 295,296.297,298 Missing
Ch 14 : Dividend & Retention Policies ( Page 247 )
Ch 15 : Budgeting and Budgetary Control ( Page 289 )
Ch 16 : Cash Flow Budgeting ( Page 308 )
Ch 17 : Capital Budgeting : Simple Problems ( Page 324 )
Ch 18 : Capital Budgeting : Advanced Problems ( Page 355 )
Ch 19 : Capital Budgeting : Replacement of Existing Assets ( Page 374 )
Ch 20 : Capital Budgeting : Inflation and SCBA ( Page 399 )
Ch 21 : Capital Budgeting : Rationing of Capital ( Page 409 )
Ch 22 : Lease or Buy Decisions ( Page 419 )
Ch 23 : Working Capital Estimation ( Page 451 )
Ch 24 : Inventory Management ( Page 491 )
Ch 25 : Receivables Management ( Page 506 )
Ch 26 : Management of Cash and Marketable Securities ( Page 530 )
Ch 27 : Working Capital Finance ( Page 536 )
Ch 28 : Financial Strategy and Planning ( Page 553 )
Ch 29 : Project Planning and Control ( Page 577 )
Ch 30 : Projected Cash Flows Estimation ( Page 583 )
Ch 31 : Risk Analysis: Probability and Expected Values ( Page 611 )
Ch 32 : Risk Analysis: Best and Worst Estimates ( Page 626 )
Ch 33 : Risk Analysis: Value of Perfect Information ( Page 639 )
Ch 34 : Risk Analysis: Standard Deviation of Cash Flows ( Page 646 )
Ch 35 : Risk Analysis: Sensitivity Analysis ( Page 659 )
Ch 36 : Risk Analysis: Risk Adjusted Discount Rate & Certainty Equivalent ( Page 670 )
Ch 37 : Risk Analysis: Abandonment Option ( Page 680 )
Ch 38 : Risk Analysis: Project Beta ( Page 687 )
Ch 39 : Risk Analysis: Simulation Modelling ( Page 691 )
Ch 40 : Risk Analysis: Decision Tree Analysis ( Page 709 )
Ch 41 : Capital, Debt and Stock Market ( Page 721 )
Ch 42 : Equity, Debt and Money Market Instruments ( Page 733 )
Ch 43 : Mutual Funds ( Page 749 )
Ch 44 : Derivatives and Option Pricing Theory ( Page 757 )
Ch 45 : Investment Management and Risk Return Analysis ( Page 783 )
Ch 46 : Capital Asset pricing Model and Modern Portfolio Theory ( Page 801 )
Ch 47 : Valuation of Business ( Page 831 )
Ch 48 : Mergers and Acquisition ( Page 874 )
Ch 49 : Business Restructuring and Industrial Sickness ( Page 908 )
Ch 50 : International Monetary and Financing System ( Page 913 )
Ch 51 : Foreign Exchange Exposure and Risk Management ( Page 939 )
Ch 52 : Capital Investment Decisions on International Projects ( Page 964 )

The End

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