000 01747nam a2200205 4500
999 _c3854
_d3854
020 _a9780071157612
050 _aHG181
_b.G75
100 _a Mark Grinblatt
245 _aFinancial markets and corporate strategy
_c Mark Grinblatt, Sheridan Titman.
260 _a Boston :
_bIrwin/McGraw-Hill,
_c1998.
300 _aXXX, 866 Seiten :
_b Illustrationen ;
_c 26 cm.
440 _a Irwin/McGraw-Hill series in finance, insurance and real estate.
500 _aIncludes index
505 _aPart 1 Financial markets and financial instruments: raising capital - the process and the players; debt financing; equity financing. Part 2 Valuing financial assets; the mathematics and statistics of portfolios; mean-variance analysis and the capital asset pricing model; factor models and the arbitrage pricing theory; pricing derivatives; options. Part 3 Valuing real assets; investing in risk-free projects; investing in risky projects; allocating capital and corporate strategy; corporate taxes and the impact of financing on real asset valuation; capital structure; how taxes affect financing choices; how taxes affect dividends and share repurchases; bankruptcy costs and debt holder/equity holder conflicts; capital structure and corporate strategy; incentives, information and corporate control; how managerial incentives affect financial decisions; the information conveyed by financial decisions; mergers and acquisitions; risk management; risk management and corporate strategy; the practice of hedging; interest rate risk management.
650 _aCorporations --
_xFinance.
650 _aFinancial institutions -- United States.
650 _a Strategic planning -- United States.
700 _a Sheridan Titman.
942 _cBK