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Equity Asset Valuation Workbook
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A companion workbook for the Second Edition of Equity Asset Valuation In the Second Edition of Equity Asset Valuation, experts Jerald Pinto, Elaine Henry, Thomas Robinson, and John Stowe, fully detail the contemporary techniques used to determine the intrinsic value of an equity security, and show you how to successfully apply these techniques in both foreign and domestic markets. In the Second Edition of the Equity Asset Valuation Workbook, they offer you a wealth of practical information and exercises that will further enhance your understanding of this discipline. This detailed study guide-which parallels the Second Edition of Equity Asset Valuation chapter by chapter-contains concise summary overviews of the chapters, challenging problems, and a complete set of solutions. An all-inclusive study companion to the Second Edition of Equity Asset Valuation Topics covered include the equity valuation process, discounted dividend valuation, free cash flow valuation, and residual income valuation Challenges readers with question/answer sections for each chapter in the main book Engaging and accessible, the Second Edition of the Equity Asset Valuation Workbook reviews essential concepts you must be familiar with in order to excel at this endeavor.

Paperback: 144 pages

Publisher: Wiley; 2 edition (February 8, 2010)

Language: English

ISBN-10: 0470395214

ISBN-13: 978-0470395219

Product Dimensions: 7 x 0.3 x 10 inches

Shipping Weight: 4.8 ounces

Average Customer Review: 4.3 out of 5 stars  See all reviews (6 customer reviews)

Best Sellers Rank: #733,787 in Books (See Top 100 in Books) #97 in Books > Business & Money > Finance > Corporate Finance > Valuation #1021 in Books > Textbooks > Business & Finance > Finance #4897 in Books > Textbooks > Business & Finance > Economics

Overall, this book provides an excellent overview of valuation techniques, including discounted cash flow valuation and private firm valuation. This along with the workbook make a great supplemntary addition to a course on portfolio management.

The textbook for this workbook is even more retarded than the Corporate Finance book from the same publisher. It's incoherent, disorganized, not in color, and the questions at the end of each chapter are only remotely related to the chapter and its sample problems. Therefore, this workbook is a godsend because it has answers and step-by-step solutions. If you must buy the stupid textbook, buy this workbook and save yourself the pain and suffering.

Exercises for computing Residual Income, Economic Value Added, Free Cash Flow To The Firm,Free Cash Flow to Equity and numerous other concepts were excellent in reinforcing the learningof material read in the text. The solutions section really adds alot of value to the exercises. I highly recommend buying it with the text.

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