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Study Guide for Brigham/Ehrhardt's Financial Management: Theory & Practice, 14th, by Eugene F. Brigham, Michael C. Ehrhardt
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Updated to reflect the 14th Edition, the Study Guide outlines key content from each chapter. It also contains true/false and multiple choice Self-Test Questions and Self-Test Problems to help students test their knowledge and application of concepts from the text. Worked-out solutions guide students through the problem-solving process.
- Sales Rank: #108024 in Books
- Brand: Brand: Cengage Learning
- Published on: 2013-03-01
- Released on: 2013-03-01
- Original language: English
- Number of items: 1
- Dimensions: 10.90" h x 1.30" w x 8.40" l, 1.45 pounds
- Binding: Paperback
- 576 pages
- Used Book in Good Condition
About the Author
Dr. Eugene F. Brigham is Graduate Research Professor Emeritus at the University of Florida, where he has taught since 1971. Dr. Brigham received his M.B.A. and Ph.D. from the University of California-Berkeley and his undergraduate degree from the University of North Carolina. Prior to joining the University of Florida, Dr. Brigham held teaching positions at the University of Connecticut, the University of Wisconsin, and the University of California-Los Angeles. Dr. Brigham has served as president of the Financial Management Association and has written many journal articles on the cost of capital, capital structure, and other aspects of financial management. He has authored or co-authored ten textbooks on managerial finance and managerial economics that are used at more than 1,000 universities in the United States and have been translated into 11 languages worldwide. He has testified as an expert witness in numerous electric, gas, and telephone rate cases at both federal and state levels. He has served as a consultant to many corporations and government agencies, including the Federal Reserve Board, the Federal Home Loan Bank Board, the U.S. Office of Telecommunications Policy, and the RAND Corporation. Dr. Brigham continues to teach, consult, and complete research in addition to his academic writing. He spends his spare time on the golf course, enjoying time with his family and dogs, and tackling outdoor adventure activities, such as biking through Alaska.
Dr. Michael C. Ehrhardt is a Professor in the Finance Department and is the Paul and Beverly Castagna Professor of Investments. He completed his undergraduate work in Civil Engineering at Swarthmore College. After working several years as an engineer, he earned his M.S. in Operations Research and Ph.D. in Finance from the Georgia Institute of Technology. Dr. Ehrhardt has taught extensively at the undergraduate, masters, and doctoral levels in the areas of investments, corporate finance, and capital markets. He has directed and served on numerous dissertation committees and is a member of the team that developed and delivered the integrative first year of the MBA program. Dr. Ehrhardt teaches in Executive Education Programs and consults in the areas of corporate valuation, value-based compensation plans, financial aspects of supply-chain management, and the cost of capital. He has been awarded the Allen G. Keally Outstanding Teacher Award, the Tennessee Organization of MBA Students Outstanding Faculty member, the College of Business Administration Research & Teaching Award, and the John B. Ross Outstanding Teaching Award in the College of Business. Much of his research focuses on corporate valuation and asset pricing models, including pricing models for interest-rate sensitive instruments. His work has been published in numerous journals, including The Journal of Finance, Journal of Financial and Quantitative Analysis, Financial Management, The Financial Review, The Journal of Financial Research, and The Journal of Banking and Finance. He has also authored or co-authored several books addressing various areas of finance.
Most helpful customer reviews
2 of 2 people found the following review helpful.
Not work the paper its on...
By DL
This was useless for my MBA studies. That assessment is partially because my professor did not require use of this book. However, the biggest issue is that the manual is poorly formatted, dry, and in some cases not aligned to the text. I bought it, read a couple chapters, put it on a shelf and never looked at it again. The manual didn't offer any value. I suggest sticking with the textbook or Cengage learning modules to better learn this subject.
0 of 0 people found the following review helpful.
Short, Sweet and to the Point
By M
Skip the textbook, and get this. It clearly outlines the chapters, plus homework questions and solutions. I haven't needed my actual textbook at all.
0 of 0 people found the following review helpful.
Five Stars
By Amazon Customer
Highly recommend for anyone in a Masters level financial management class who does not have an undergraduate business degree.
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