Strategic Financial Management: Theory, Problems and Solutions Approach (Seventh Edition) is a comprehensive book explaining concepts, theories, problems and solutions of Strategic Financial Management in a lucid and informative manner. It has been developed exclusively for the students of CA Final, Group – I Paper – 2 and other professional examinations like CS, CWA, MBA, etc.
The text continues to stress a balanced approach to Strategic Financial Management by including the coverage of Project Planning and Capital Budgeting, Leasing Decision, Dividend Decisions, Indian Capital Market (Derivatives), Security Analysis and Bond Valuation, Portfolio Theory, Mutual Funds, Foreign Exchange Exposure and Risk Management, Mergers, Acquisitions and Restructuring and several other topics of strategic finance.
Besides comprehensive coverage of the syllabus of ‘Strategic Financial Management’ as prescribed by the Institute of Chartered Accountants of India, it provides extra inputs to students to give them a cutting edge in examinations.
Complex concepts have been described in an easy-to-understand manner with simple presentation through author’s notes, examples, things to remember boxes, explanations, more than 1000 solved problems, 100 unsolved problems and 36 exams’ solved questions.
Special care has been taken to maintain an appropriate balance between theoretical concepts and solved practical questions.
By exclusively discussing problem solving techniques, the book effectively addresses the queries pertaining to problem solving often raised by students.
Each chapter begins with ‘Learning Objectives and Chapter Analysis Chart’ to help students know, at a glance, what they would learn in the chapter and where their focus is required most.