| 000 | 01696nam a2200181 4500 | ||
|---|---|---|---|
| 999 |
_c2791 _d2791 |
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| 020 | _a9780077129422 | ||
| 022 | _a0077129423 | ||
| 050 | _aHG181.H54 | ||
| 100 | _aMark Grinblatt | ||
| 245 |
_aFinancial markets and Corporate Strategy _c Mark Grinblatt; Sheridan Titman |
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| 250 | _a2nd European Edition | ||
| 260 |
_aNew York _b McGraw-Hill Higher Education ; London : McGraw-Hill [distributor], _c2011 |
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| 300 |
_a854p _b 1 volume : illustrations |
||
| 500 | _aIncludes index | ||
| 505 | _aPart I. Financial Markets and Financial Instruments1. Raising Capital2. Debt Financing3. Equity FinancingPart II. Valuing Financial Assets4. Portfolio Tools5. Mean-Variance Analysis and the Capital Asset Pricing Model6. Factor Models and the Arbitrage Pricing Theory7. Pricing Derivatives8. OptionsPart III. Valuing Real Assets9. Discounting and Valuation10. Investing in Risk-Free Projects11. Investing in Risky Projects12. Allocating Capital and Corporate Strategy13. Corporate Taxes and the Impact of Financing On Real Asset ValuationPart IV. Capital Financial Structure14. How Taxes Affect Financing Choices15. How Taxes Affect Dividends and Share Repurchases16. Bankruptcy Costs and Debt Holder-Equity Holder Conflicts17. Capital Structure and Corporate StrategyPart V. Incentives, Information, and Corporate Control18. How Managerial Incentives Affects Financial Decisions19. The Information Conveyed by Financial Decisions20. Mergers and AcquisitionsPart VI. Risk Management21. Risk Management and Corporate Strategy22. The Practice of Hedging23. Interest Rate Risk Management | ||
| 650 |
_a Financial institutions -- United States. _xCorporations -- United States -- Finance. |
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| 942 | _cBK | ||