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Fin management materials / P4AFM-Session18Index_j08

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SESSION 18 – INDEX

A

Accounting rate of return (ARR)

503

Acquisitions

801

Adjusted present value

602

Agency theory

104

Arbitrage Pricing Theory

418

Asset betas

415

B

Basis

1316

Basis risk

1317

Bills of exchange

1603

Black-Scholes model

1209, 1701

Business risk

305

C

Cadbury Report

109

Cap

1420

Capital asset pricing model

401

Capital structure

306

City Code

809

Convertible debentures

219

Corporate governance

108

Corporate objectives

102

Cost of debt

213

Cost of equity

207

Counter-trade

1604

Currency risk

1306

D

Debt

1015

Divestment

905

Dividend growth

208

Dividend valuation model

204

Dual pricing

1611

E

Economic value added

714

Economic Value Added (EVA)

714

Efficiency ratios

1108

Efficient Market Hypothesis

202, 203

Equity Issues

1002

Ethics

113

Eurobonds

1018

Expectations theory

1305

Export financing

1603

F

Financial distress risk

307

Financial risk

305, 415

Financing ratios

1109

Fisher effect

1305

Foreign trade

1602

Forfaiting

1603

Free cash flow to equity

710

Free cash flow to the firm

712

G

GATT

1505

Gearing

305

Gordon’s growth model

210

Greenbury Code

110

I

IBO

906

Interest rate parity

1304

International Fisher effect

1305

Intrinsic value

1206, 1704

Irredeemable debt

214

L

Lagging

1307

Leading

1307

Letters of credit

1603

LIFFE

1410

Linear programming

609

Listing

1003

M

Market value added

714

Matching

1307

MBI

906

MBO

906

Modigliani and Miller’s

307

Money rates

516

Monte Carlo method

614

Multi National Companies (MNCS)

1502

N

Negotiated transfer prices

1611

Net present value

509, 510

Netting

1307

Nominal rates

516

1801

SESSION 18 – INDEX

O

 

T

 

Objectives

102

Tactical planning

1103

Offer for sale

1011

Tender offer

1011

Offer for subscription

1011

Tick size

1318

Operational planning

1103

Tick value

1318

Option value

1204

Time value

505, 1207, 1706

Options

1201

Transaction exposure

1307

Options on futures

1410

Transfer pricing

1610

Organic growth

802

Treasury function

1605

Over the counter (OTC) options

1203

Turnbull Report

111

Overheads

509

Two-part transfer prices

1611

P

 

Payback period

502

Political risk

1605

Portfolio theory

401

Preference shares

213

Private companies

104

Profitability ratios

1108

Project appraisal

506

Protectionism

1503

Public limited companies

104

Purchasing power parity

1302

Put call parity

1210

R

 

Real options pricing theory

607

Real rates

516

Redeemable debentures

216

Relevant costs

513

Risk-free assets

409

S

 

Sarbanes Oxley Act

109

Security Market Line

414

Shareholder value added

715

Single-period capital rationing

608

Stock market ratios

1109

Strategic planning

1102

Swaptions

1417

Synergy

803

U

Unquoted equity

1014

V

Valuations

701

W

Wealth maximisation

103

Weighted average cost of capital

302

WTO

1506

 

Y

Yield curves

220

1802

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