Financial markets and corporate strategy / Mark Grinblatt, Sheridan Titman.
Material type: TextPublication details: Boston : McGraw-Hill Irwin, 2002.Edition: 2nd edDescription: xxxii, 880 p. : ill ; 26 cmISBN:- 9780072294330 (hc.)
- 0071123415
- 658.15 GRI
- HG181 .G75 2002
Item type | Current library | Call number | Copy number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Long Loan | TUS: Midlands, Main Library Athlone General Lending | 658.15 GRI (Browse shelf(Opens below)) | 1 | Available | 00211170 |
Includes bibliographical references and index.
Part I.Financial markets and financial instruments -- 1.Raising capital -- 2.Debt financing -- 3.Equity financing -- Part II.Valuing financial assets -- 4.Portfolio tools -- 5.Mean-variance analysis and the capital asset pricing model -- 6.Factor modles and the arbitrage pricing theory -- 7.Pricing derivatives -- 8.Options -- 9.Discounting and valuation -- Part 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 -- Part IV.Capital financial structure -- 14.How taxes affedct financing choices -- 15.How taxes affect dividends and share repurchases -- 16.Bankrupty costs and debt holder-equity holder conflicts -- 17.Capital structure and corporate strategy -- Part V.Incentives, information and corporate control -- 18.How managerial incentives affect financial decisions -- 19.The information conveyed by financial decisions -- 20.Mergers and acquisitions -- Part VI.Risk management -- 21.Risk management and corporate strategy -- 22.The practice of hedging -- 23.Interest rate risk management.