Financial Markets and Corporate Strategy: European Edition, 3e (3RD)

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Financial Markets and Corporate Strategy: European Edition, 3e (3RD)

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  • 製本 Paperback:紙装版/ペーパーバック版
  • 言語 ENG
  • 商品コード 9781526849496
  • DDC分類 658.150973

Full Description

The global pandemic restrictions, climate change, geopolitical tensions, and new artificial technologies have fundamentally impacted international financial markets and corporate strategy. Traditional finance theories have been questioned and their application to corporate decision-making has come under scrutiny like never before.

The third edition of Financial Markets and Corporate Strategy provides students with comprehensive and engaging discussions on the strategic challenges facing companies and their financial decisions.  Brought to life by real-world examples, international cases and insights from recent research, it guides students through the challenges of studying and practising finance from both an academic and practical viewpoint.

Key Features:

·       Fully updated research of the most important topics, data and examples in every chapter.

·       Coverage of the impact of climate change, Brexit, the economic growth of China, and new financial technologies

·       A stronger emphasis on sustainability, ethics, and corporate governance.

·       Updates on accounting standards, bankruptcy laws, tax rules and tax systems.

David Hillier is Professor of Finance, Executive Dean of Strathclyde Business School, and Associate Principal of the University of Strathclyde.

Mark Grinblatt is the J. Clayburn LaForce Professor of Finance at the UCLA Anderson School of Management

Sheridan Titman is Professor of Finance at the McCombs School of Business.

Contents

Part 1: Financial Markets and Financial Instruments
Chapter 1 Raising Capital: The Process and Players 
Chapter 2Debt Financing 
Chapter 3Equity Financing
 
Part 2: Valuing Financial Assets

Chapter 4Portfolio Tools
Chapter 5Mean-Variance Analysis and the Capital Asset Pricing Model
Chapter 6Factor Models and the Arbitrage Pricing Theory
Chapter 7Pricing Derivatives
Chapter 8Options

Part 3: Valuing Real Assets

Chapter 9Discounting and Valuation
Chapter 10Investing in Risk-Free Projects
Chapter 11Investing in Risky Projects
Chapter 12Allocating Capital and Corporate Strategy
Chapter 13Corporate Taxes and the Impact of Financing on Real Asset Valuation

Part 4: Capital Structure

Chapter 14How Taxes Affect Financing Choices
Chapter 15How Taxes Affect Dividends and Share Repurchases
Chapter 16Bankruptcy Costs and Debt Holder-Equity Holder Conflicts
Chapter 17Capital Structure and Corporate Strategy

Part 5: Incentives, information, and corporate control

Chapter 18How Managerial Incentives Affect Financial Decisions
Chapter 19The Information Conveyed by Financial Decisions
Chapter 20Mergers and Acquisitions

Part 6: Risk Management

Chapter 21Risk Management and Corporate Strategy
Chapter 22The Practice of Hedging
Chapter 23Interest Rate Risk Management 

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