Financial Markets and Corporate Strategy
European Edition
(Sprache: Englisch)
The second European edition of Financial Markets and Corporate Strategy provides comprehensive coverage of financial markets and corporate finance, brought to life by real world examples, cases and insights. Placed in a truly international context, this...
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Klappentext zu „Financial Markets and Corporate Strategy “
The second European edition of Financial Markets and Corporate Strategy provides comprehensive coverage of financial markets and corporate finance, brought to life by real world examples, cases and insights. Placed in a truly international context, this new and updated edition takes an academic and practical view-point to guide students through the challenges of studying and practicing finance. Aimed specifically at an international audience, this edition boasts hundreds of references to new and relevant non-US research papers from top finance journals. Whilst retaining the well respected structure of the successful US text, Professor David Hillier has also made a number of additions which include:
Inhaltsverzeichnis zu „Financial Markets and Corporate Strategy “
Part I. Financial Markets and Financial Instruments1. Raising Capital
2. Debt Financing
3. Equity Financing
Part II. Valuing Financial Assets
4. Portfolio Tools
5. Mean-Variance Analysis and the Capital Asset Pricing Model
6. Factor Models and the Arbitrage Pricing Theory
7. Pricing Derivatives
8. Options
Part III. Valuing Real Assets
9. Discounting and Valuation
10. Investing in Risk-Free Projects
11. Investing in Risky Projects
12. Allocating Capital and Corporate Strategy
13. Corporate Taxes and the Impact of Financing On Real Asset Valuation
Part IV. Capital Financial Structure
14. How Taxes Affect Financing Choices
15. How Taxes Affect Dividends and Share Repurchases
16. Bankruptcy Costs and Debt Holder-Equity Holder Conflicts
17. Capital Structure and Corporate Strategy
Part V. Incentives, Information, and Corporate Control
18. How Managerial Incentives Affects Financial Decisions
19. The Information Conveyed by Financial Decisions
20. Mergers and Acquisitions
Part VI. Risk Management
21. Risk Management and Corporate Strategy
22. The Practice of Hedging
23. Interest Rate Risk Management
Autoren-Porträt von David Hillier, Mark Grinblatt, Sheridan Titman
David Hillier is Professor of Finance at the University of Strathclyde, teaches regularly in development programs for executives and has taught courses for a wide variety of professional clients, including the World Bank and the National Health Service in the UK. It is part of the editorial board of several international journals of finance.
Bibliographische Angaben
- Autoren: David Hillier , Mark Grinblatt , Sheridan Titman
- 2011, 2nd edition, XXIV, 849 Seiten, mit Abbildungen, Masse: 19,2 x 26,1 cm, Kartoniert (TB), Englisch
- Verlag: McGraw-Hill Higher Education
- ISBN-10: 0077129423
- ISBN-13: 9780077129422
- Erscheinungsdatum: 16.11.2011
Sprache:
Englisch
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