| 000 | 01936nam a2200229Ia 4500 | ||
|---|---|---|---|
| 008 | 140814s9999 xx 000 0 und d | ||
| 020 | _a9780070495098 | ||
| 041 | _aEnglish | ||
| 082 | _a658.15 GRI | ||
| 100 | _aGrinblatt, Mark; | ||
| 245 |
_aFinancial markets and corporate strategy / _cMark Grinblatt; Sheridan Titman |
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| 250 | _a2nd edition | ||
| 260 |
_aBoston : _bMcGraw-Hill Irwin, _c2002. |
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| 300 |
_axxxii, 880 p. : _bill. ; _c26 cm. |
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| 440 | _aMcGraw-Hill/Erwin series in finance, insurance, and real estate. | ||
| 505 | _apt. I. Financial markets and financial instruments. 1. Raising capital. 2. Debt financing. 3. Equity financing -- pt. 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. 9. Discounting and valuation. -- pt. III. Valuing real assets. 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 -- pt. 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 -- pt. V. Incentives, information, and corporate control. 18. How managerial incentives affect financial decisions. 19. The information conveyed by financial decisions. 20. Mergers and acquisitions -- pt. VI. Risk management. 21. Risk management and corporate strategy. 22. The practice of hedging. 23. Interest rate risk management -- Appendix A: mathematical tables. | ||
| 650 | _aFinancial Markets | ||
| 650 | _aFinancial institutions -- United States. | ||
| 650 | _aCorporations -- United States -- Finance. | ||
| 700 | _aTitman, Sheridan | ||
| 942 | _c1 | ||
| 999 |
_c10732 _d10732 |
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