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Shroff Publishers Strategic Financial Management New Syllabus for CA Final by A N Sridhar Applicable for May 2018 Exam

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Strategic Financial Management CA Final A.N.Sridhar

Strategic Financial Management CA Final A.N.Sridhar

Description

Many students, who pass out Chartered Accountant Final examination nowadays, show keen interest to make up a career in the field of finance. It is not only the monetary benefits they get in this field but also the challenge and interest they face, that attracts them. One is also witnessing the increased integration of accounts and finance in the job profiles that are being offered nowadays. Also, the analytical skills of the individual that are put to test in the field of finance, makes modern day students accept a challenging career in the enterprising subject of finance. The Institute of Chartered Accountants of India (ICAI) has recently announced the change in syllabus at all levels. But it must be said that Finance has been given high importance in the CA Final curriculum, with traditional topics making way for modern  Topics in the new syllabus. A dedicated elective paper in the field of finance is also a testimony to this fact. This text is the first edition of the new syllabus in the subject of Strategic Financial Management announced by ICAI for examinations commencing from May 2018. This book is tailored to suit the final year students of CA Final who will be appearing for examinations under new syllabus from May 2018 onwards. This text tracks the list of topics announced by lCAl in the same order, under its new syllabus so that CA Final students find it easy to refer and correlate with the new syllabus The presentation of the material is intended to be detailed but not too exhaustive. The book is iljtended for self-study with several basics widely covered. Concept clarification is assigned high importance. Several examples and solved problems highlight the importance of understanding the application of concepts While writing this edition, a sincere attempt is made to retain all the positives of past 30 odd editions of the past two syllabuses. They all have been carefully preserved with better presentation, the most important being, and several numerical examples and solved problems. This book tries to balance the needs of that group of students who want to use this material for passing the examination and the needs of those group of students who wants to learn in detail.

Contents

Section I

  1. Financial Policy and Corporate Strategy
  2. Indian Financial System
  3. Risk Management

Section II

  1. Valuation of Preference Shares, Warrants and Rights
  2. Valuation of Bonds
  3. Fixed Income Portfolio Management
  4. Equity Analysis & Valuation
  5. Equity Portfolio Management
  6. Alternative Investment strategies

Section III

  1. Securitization
  2. Mutual Funds
  3. Equity Derivatives – Futures
  4. Equity Derivatives – Options
  5. Commodity Derivatives

Section IV

  1. International Finance -1 – Foreign Exchange Markets
  2. International Finance -2 – Parity Theorems & Exchange Rate Determination
  3. International Finance -3 – Measuring & Managing Foreign Exchange Exposures
  4. International Finance -4 – International Financial Management
  5. International Finance -5 – International Working Capital Management
  6. Interest Rate Risk Management
  7. Real Options

Section V

  1. Corporate Valuation
  2. Mergers & Acquisitions
  3. Corporate Restructuring & Takeovers

Section VI

  1. International Finance Centre and Islamic Finance
  2. Startup Finance
  3. Venture Capital Financing
  4. Small and Medium Enterprises

APPENDIXES

  1. Important Short Questions
  2. Present Value Tables
  3. Interpolation
  4. Logarithms & Exponentials
  5. Normal Distribution Table
  6. Natural Logarithm & Exponential Tables
  7. Model Paper

About the Author

A. N. Sridhar is a finance professional who has wide experience of more than two decades in various fields including banking, forex markets, money market, mutual funds, stock and derivatives markets. Being well versed with dealing and thereby interacting with various players of the market, the author has used his practical knowledge to explain several concepts of futures and options in a simple and lucid manner. He has delivered lectures on equity & derivative markets to students and professionals. Owing to experience in teaching, he has been able to express even the complex topics in a short and easily understandable form. He believes that perfection in any work can only be attained with the mastery of concepts. And therefore more pages are dedicated to explanation of the concepts. He has also authored books on Financial Management and Operations Research

 

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