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Corporate Finance

Most popular at the top

  • Evolutionary Financeby Bartholomew Dowling

    Palgrave Macmillan 2005; US$ 160.00

    The purpose of this book is to introduce the field of bioinformatics to financial modelling. It focuses on the way information informs price, and constructs a framework to explain information generation and the agglomeration process, enabling the reader to make more effective financial decisions. more...

  • Junk Bondsby Glenn Yago

    Oxford University Press 1990; US$ 49.99

    This is a study of the high yield bond market, popularly called junk bonds. The author has studied how companies that use junk bond financing compare in economic performance with their industry averages. This book shows that the performance of these companies was superior in the vast majority of cases. more...

  • Investing in Corporate Bonds and Credit Riskby Frank Hagenstein; Alexander Mertz; Jan Seifert

    Palgrave Macmillan 2004; US$ 310.00

    Investing in Corporate Bonds and Credit Risk is a valuable tool for any corporate bond investor. All the most recent developments and strategies in investment in corporate bonds are analyzed included with qualitative and quantitative approaches. A complete and up-to-date investment process is developed through the book, using many examples taken... more...

  • Understanding Arbitrageby Randall Billingsley

    Pearson Education 2005; US$ 39.99

    Arbitrage is central both to corporate risk management and to a wide range of investment strategies. Thousands of financial executives, managers, and sophisticated investors want to understand it, but most books on arbitrage are far too abstract and technical to serve their needs. Billingsley addresses this untapped market with the first accessible... more...

  • The Venture Capital Industry in Europeby Andrea Schertler

    Palgrave Macmillan 2006; US$ 140.00

    By analyzing venture capital industries, this book substantially adds to the understanding of Europe's venture capital industries. It discusses the microeconomics of fund raising, investment and exiting behaviour of venture capital companies and relates the microeconomics of venture capital finance to the industry features in European countries. more...

  • Project Financingby John D. Finnerty

    Wiley 2011; US$ 95.00

    Praise for Project Financing, First Edition "Owing to his teaching as a finance professor and as an experienced investment banker, John Finnerty brings to his book, Project Financing, an insightful perspective, blending the theoretical with the practical." —Zoltan Merszei, former chairman, president, and CEO, The Dow Chemical Company "Finnerty... more...

  • Mastering Financial Managementby Stephen Brookson

    Thorogood Publishing 1998; US$ 26.95

    This volume enables executives to master the commercially vital essentials of financial management, and to learn techniques which should be of immediate use. The key ingredients are covered giving readers a mastery of financial accounting, management accounting and financial management. more...

  • A Theory Of The Firm's Cost Of Capitalby Ramesh K S Rao; Eric C Stevens

    World Scientific Publishing Company 2007; US$ 128.00

    The cost of capital concept has myriad applications in business decision-making. The standard methodology for deriving cost of capital estimates is based on the seminal Modigliani-Miller analyses. This book generalizes this framework to include non-debt tax shields (e.g., depreciation), interactions between the borrowing rate and tax shields, and default... more...

  • Optimizing Corporate Portfolio Managementby Anand Sanwal

    Wiley 2007; US$ 88.95

    If where an organization allocates its resources determines its strategy, why is it that so few companies actively manage the resource allocation process? "Optimizing Corporate Portfolio Management: Aligning Investment Proposals with Organizational Strategy" goes beyond platitudes about why you should use corporate portfolio management (CPM) by offering... more...

  • Strategic Risk Takingby Aswath Damodaran

    Pearson Education 2007; US$ 54.99

    In business and investing, risk has traditionally been viewed negatively: investors and companies can lose money due to risk and therefore we typically penalize companies for taking risks. That?s why most books on risk management focus strictly on hedging or mitigating risk.   But the enterprise?s relationship with risk should be far more nuanced.... more...