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Index
Mastering finance : the complete finance companion
The Latest in Financial Principles and Practice from the World’s Best Finance Schools
Table of Contents
Current valuations
Capital budgeting: will the project pay?
Capital budgeting: a beta way to do it
Valuation approaches to the LBO
Beta, size and price/book: three risk measures or one?
Why it’s worth being in control
Contents
Introduction
Capital structure levels
Analyzing the changes
Leverage changes
Conclusions
Summary
Building on the benefits of project financing
Why divest?
A taxing question
Visible value
Tax efficiency of divestitures
Trade-off
Spin-offs: why information flows better
Contents
Introduction
Limitations and the future?
Conclusion
Summary
Riding on the crest of a wave can be easy but...
Summary
right
Myths surrounding short-termism
Contents
Introduction
Leads/lags and contrarian profits
Nonsynchronous trading
Long-horizon stock returns
Maximizing predictability
Practical implications
Summary
Giving markets a human dimension
Assessing the costs of security trading
Stock Exchanges: forces of change
Electronic umbrella
Conclusion
Summary
Contributors
The rating process
Conclusion
Summary
Contents
Asset allocation - have investors got it wrong?
Why financial investors like to stay at home
What is the remedy
Risk man
Risk: enough rope to hang the business?
Conclusions
Case study: American Barrick Resources
Exchange rate exposure and market value
Contents
Futures strategies
Swaps
Complications and opportunities
How to put a price on options
Derivatives as a way of reducing risk
Contributors
Contents
Introduction
The key role of the financial ‘middle men’
Banks respond to a changing world
BB •
Contributors
Unraveling the workings of monetary policy - a UK postscript
Managing government finances
Implementing the NPV rule
Conclusion
Summary
P
R
MPLETE
COMPANION
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