Financial Markets & Corporate Strategy

 (Mark Grinblatt and Sheridan Titman)  

Part I Financial Markets and Financial Instruments

Chapter 01 Raising Capital: The Process and the Players

Chapter 02 Debit Financing

Chapter 03 Equity Financing

Ch4

 

Part II Valuing Financial Assets

Chapter 05 Mean-Variance Analysis and the Capital Asset Pricing Model

Chapter 06 Factor Models and the Arbitrage Pricing Theory

Chapter 07 Pricing Derivatives

Chapter 08 Options

 

Part III Valuing Real Assets

Chapter 09 Discounting and Valuation

Chapter 10 Investing in Risk-Free Projects

Chapter 11 Investing in Risky Projects

Chapter 12 Allocating Capital and Corporate Strategy

Chapter 13 Corporate Taxes and the Impact of Financing on Real Asset Valuation

 

Part IV Capital Structure

Chapter 14 How Taxes Affect Financing Choices

Chapter 15 How Taxes Affect Dividends and Share Repurchases

Chapter 16 Bankruptcy Costs and Debt Holder – Equity Holder Conflicts

Chapter 17 Capital Structure and Corporate Strategy

 

Part V Incentives, Information, and Corporate Control

Ch18

Chapter 19 The Information Conveyed by Financial Decisions

Chapter 20 Mergers and Acquisitions

 

Part VI Risk Management

Chapter 21 Risk Management and Corporate Strategy

Chapter 22 The Practice of Hedging

Chapter 23 Interest Rate Risk Management

 

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