
by Juan F. Pérez-Carballo Veiga · ESIC Editorial · tapa dura · ISBN 9788473567619

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This book, written by Juan F. Pérez-Carballo Veiga, is a fundamental work in corporate financial management. Through its pages, the author analyzes the complex decision of how to finance a company, focusing on the composition of employed capital and the optimal relationship between financial debt and equity. The work explores how these decisions directly impact the profitability, risk, liquidity, and overall value of the organization. The text addresses financial management from various practical scenarios, evaluating debt capacity and the structure of new funding sources. It also offers essential management principles for balancing financial leverage with risk mitigation, making it an indispensable guide for students and professionals in the economic field who seek to understand best practices for solid and sustainable corporate financing.

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