Financial Theory and Corporate Policy : student solutions manual.
COPELAND Thomas ; WESTON J. Fred ; SHASTRI Kuldeep
2005
194
0-321-17954-4
131.45-COPEL
FINANCIAL THEORY ; CORPORATE FINANCE ; FINANCIAL MATHEMATICS ; INTEREST RATE ; PORTFOLIO MANAGEMENT
No. | Call n° | Bar code | Commentary | |
---|---|---|---|---|
1 | [not for loan] | |||
2 | [available] |
Contents :
1. Introduction to Capital Markets, Consumption and Investment.
2. Investment Decisions - The Certainty Case.
3. Theory of Choice : Utility Theory Given Uncertainty
4. State-Preference Theory.
5. Objects of Choice : Mean -Variance Portfolio Theory
6. Market Equilibrium - CAPM and APT.
7. Pricing Contingent Claims - Option Price Theory and Evidence.
8. The Term Structure of Interest Rates, Froward Contracts and Futures
9. Multiperiod Capital Budgeting under Uncertainty - Real Options Analysis
10. Efficient Capital Markets - Theory.
11. Efficient Capital Market - Evidence.
12. Information Asymmetry - And Agency Theory
13. The Role of the CFO, Performance Measurement and Incentive Design
14. Valuation and Tax Policy.
15. Capital Structure and the Cost of Capital : Theory and Evidence
16. Dividend Policy : Theory and Empirical Evidence
17. Applied Issues in Corporate Finance.
18. Acquisitions, Divestitures, Restructuring and Corporate Governance
19. International Financial Management
Nbre volumes : 1
Language : English
Print : 4ème
Place of publishing : REDDING
Figure(s) : Graphique(s) ; Tableau(x)
Location : Nice Library
Material : Paper
Statement : Présent
Owner : Bibliothèque