Part Two: Risk
7. Introduction to Risk and Return
8. Portfolio Theory and the Capital Asset Pricing Model
9. Risk and the Cost of Capital
Part Three: Best Practices in Capital Budgeting
10. Project Analysis
11. Investment, Strategy, and Economic Rents
12. Agency Problems, Compensation, and Performance Measurement
Part Four: Financing Decisions and Market Efficiency
13. Efficient Markets and Behavioral Finance
14. An Overview of Corporate Financing
15. How Corporations Issue Securities
Part Five: Payout Policy and Capital Structure
16. Payout Policy
17. Does Debt Policy Matter?
18. How Much Should a Firm Borrow?
19. Financing and Valuation
Part Six: Options
20. Understanding Options
21. Valuing Options
22. Real Options
Part Seven: Debt Financing
23. Credit Risk and the Value of Corporate Debt
24. The Many Different Kinds of Debt
25. Leasing
Part Eight: Risk Management
26. Managing Risk
27. Managing International Risks
Part Nine: Financial Planning and Working Capital Management
28. Financial Analysis
29. Financial Planning
30. Working Capital Management
Part Ten: Mergers, Corporate Control, and Governance
31. Mergers
32. Corporate Restructuring
33. Governance and Corporate Control Around the World
Part Eleven: Conclusion
34. Conclusion: What We Do and Do Not Know About Finance