Financial markets and corporate strategy

書誌事項

Financial markets and corporate strategy

Mark Grinblatt, Sheridan Titman

(The Irwin/McGraw-Hill series in finance, insurance, and real estate)

Irwin/McGraw-Hill, c1998

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注記

Includes bibliographical references and indexes

内容説明・目次

内容説明

This text, appropriate for Corporate Finance at either the undergraduate or graduate level, has been written in a way that makes it both intuitive and non-technical. This text, while rigourous, is both practical and very teachable.

目次

Part I: Financial Markets and Financial InstrumentsChapter 1. Raising Capital: The Process and the PlayersChapter 2. Debt FinancingChapter 3. Equity FinancingPart II: Valuing Financial AssetsChapter 4. The Mathematics and Statistics of PortfoliosChapter 5. Mean-Variance Analysis and the Capital Asset Pricing ModelChapter 6. Factor Models and the Arbitrage Pricing TheoryChapter 7. Pricing DerivativesChapter 8. OptionsPart III: Valuing Real AssetsChapter 9. Investing in Risk-Free ProjectsChapter 10. Investing in Risky ProjectsChapter 11. Allocating Capital and Corporate StrategyChapter 12. Corporate Taxes and the Impact of Financing on Real Asset ValuationPart IV: Capital StructureChapter 13. How Taxes Affect Financing ChoicesChapter 14. How Taxes Affect Dividends and Share RepurchasesChapter 15. Bankruptcy Costs and Debt Holder/Equity Holder ConflictsChapter 16. Capital Structure and Corporate StrategyPart V: Incentives, Information and Corporate ControlChapter 17. How Managerial Incentives Affect Financial DecisionsChapter 18. The Information Conveyed by Financial DecisionsChapter 19. Mergers and AcquisitionsPart VI: Risk ManagementChapter 20. Risk Management and Corporate StrategyChapter 21. The Practice of HedgingChapter 22. Interest Rate Risk Management

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