Cart
Free US shipping over $10
Proud to be B-Corp

Financial Markets & Corporate Strategy Mark Grinblatt

Financial Markets & Corporate Strategy By Mark Grinblatt

Financial Markets & Corporate Strategy by Mark Grinblatt


$4.68
Condition - Very Good
Only 1 left

Summary

Designed for courses in corporate finance, this volume looks at financial markets and corporate strategy. It examines the financial instruments available to firms and how to raise capital.

Faster Shipping

Get this product faster from our US warehouse

Financial Markets & Corporate Strategy Summary

Financial Markets & Corporate Strategy by Mark Grinblatt

This text, appropriate for Corporate Finance at either the undergraduate or graduate level, has been written in a way that makes it both intuitive and non-technical. This text, while rigourous, is both practical and very teachable.

About Mark Grinblatt

University of California at Los Angeles, Ph.D. Yale Mark Grinblatt is Professor of Finance at UCLAs Anderson School, where he currently serves as chair of the Finance area, and where he began his career in 1981. He is also a director on the board of Salomon Swapco, Inc., a consultant to numerous firms, and serves as an associate editor of Journal of Financial and Quantitative Analysis. From 1987 to 1989, Professor Grinblatt was a visiting professor at the Wharton School and while on leave from UCLA in 1989 and 1990, he was a vice-president for Salomon Brothers, Inc., valuing complex derivatives for the fixed income arbitrage trading group in the firm. Professor Grinblatt is a noted teacher at UCLA, having been awarded teacher of the year in 1993 for UCLAs Fully-Employed MBA Program by a vote of the students. This award was based on his teaching of a course designed around early drafts of this textbook. Professor Grinblatts areas of expertise include investments, performance evaluation of fund managers, fixed income markets, corporate finance and derivatives. The Walter W. McAllister Centennial Chair in Financial Services at the University of Texas. He is also a research associate of the National Bureau of Economic Research and a consultant to a number of firms. Professor Titman began his academic career in 1980 at UCLA, where he served as the department chair for the finance group and as the vice chairman of the UCLA management school faculty. He designed executive education programs in corporate financial strategy at UCLA and the Hong Kong University of Science and Technology, based on material developed in this book.

Table of Contents

Part I: Financial Markets and Financial InstrumentsChapter 1. Raising Capital: The Process and the PlayersChapter 2. Debt FinancingChapter 3. Equity FinancingPart II: Valuing Financial AssetsChapter 4. The Mathematics and Statistics of PortfoliosChapter 5. Mean-Variance Analysis and the Capital Asset Pricing ModelChapter 6. Factor Models and the Arbitrage Pricing TheoryChapter 7. Pricing DerivativesChapter 8. OptionsPart III: Valuing Real AssetsChapter 9. Investing in Risk-Free ProjectsChapter 10. Investing in Risky ProjectsChapter 11. Allocating Capital and Corporate StrategyChapter 12. Corporate Taxes and the Impact of Financing on Real Asset ValuationPart IV: Capital StructureChapter 13. How Taxes Affect Financing ChoicesChapter 14. How Taxes Affect Dividends and Share RepurchasesChapter 15. Bankruptcy Costs and Debt Holder/Equity Holder ConflictsChapter 16. Capital Structure and Corporate StrategyPart V: Incentives, Information and Corporate ControlChapter 17. How Managerial Incentives Affect Financial DecisionsChapter 18. The Information Conveyed by Financial DecisionsChapter 19. Mergers and AcquisitionsPart VI: Risk ManagementChapter 20. Risk Management and Corporate StrategyChapter 21. The Practice of HedgingChapter 22. Interest Rate Risk Management

Additional information

CIN0256099391VG
9780256099393
0256099391
Financial Markets & Corporate Strategy by Mark Grinblatt
Used - Very Good
Hardback
McGraw-Hill Education - Europe
19970916
896
N/A
Book picture is for illustrative purposes only, actual binding, cover or edition may vary.
This is a used book - there is no escaping the fact it has been read by someone else and it will show signs of wear and previous use. Overall we expect it to be in very good condition, but if you are not entirely satisfied please get in touch with us

Customer Reviews - Financial Markets & Corporate Strategy