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Quantitative Corporate Finance
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Quantitative Corporate Finance
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
正題名/作者:
Quantitative Corporate Finance/ by John B. Guerard Jr., Anureet Saxena, Mustafa Gultekin.
作者:
Guerard Jr., John B.
其他作者:
Gultekin, Mustafa.
面頁冊數:
XXI, 611 p. 42 illus., 28 illus. in color.online resource. :
Contained By:
Springer Nature eBook
標題:
Quantitative Finance. -
電子資源:
https://doi.org/10.1007/978-3-030-43547-9
ISBN:
9783030435479
Quantitative Corporate Finance
Guerard Jr., John B.
Quantitative Corporate Finance
[electronic resource] /by John B. Guerard Jr., Anureet Saxena, Mustafa Gultekin. - 2nd ed. 2021. - XXI, 611 p. 42 illus., 28 illus. in color.online resource.
Chapter 1. Introduction: Capital Formation, Risk, and the Corporation -- Chapter 2. The Corporation and Other Forms of Business Organization -- Chapter 3. The Corporation Balance Sheet -- Chapter 4. The Annual Operating Statements: The Income Statement and Cash Flow Statement -- Chapter 5. Financing Current Operations and Efficiency Ratio Analysis -- Chapter 6. Financing Current Operations and the Cash Budget -- Chapter 7. Capital and New Issue Markets -- Chapter 8. The Equity of the Corporation: Common and Preferred Stock -- Chapter 9. Long-Term Debt -- Chapter 10. Debt, Equity, the Optimal Financial Structure and the Cost of Funds -- Chapter 11. Investing in Assets: Theory of Investment Decision Making -- Chapter 12. Regression Analysis and Estimating Regression Models -- Chapter 13. Time Series Modeling and the Forecasting Effectiveness of the U.S. Leading Economic Indicators -- Chapter 14. Risk and Return of Equity and the Capital Asset Pricing Model -- Chapter 15. Multi-Factor Risk Models and Portfolio Construction and Management -- Chapter 16. Options -- Chapter 17. Real Options -- Chapter 18. Mergers and Acquisitions -- Chapter 19. Liquidation, Failure, Bankruptcy, and Reorganization -- Chapter 20. Corporation Growth and Economic Growth and Stability -- Chapter 21. International Business Finance -- Chapter 22. Management-Stockholder Relations: Is Optimal Behavior All that is Necessary?.
This textbook presents a comprehensive treatment of the legal arrangement of the corporation, the instruments and institutions through which capital can be raised, the management of the flow of funds through the individual firm, and the methods of dividing the risks and returns among the various contributors of funds. Now in its second edition, the book covers a wide range of topics in corporate finance, from time series modeling and regression analysis to multi-factor risk models and the Capital Asset Pricing Model. Guerard, Gultekin and Saxena build significantly on the first edition of the text, but retain the core chapters on cornerstone topics such as mergers and acquisitions, regulatory environments, bankruptcy and various other foundational concepts of corporate finance. New to the second edition are examinations of APT portfolio selection and time series modeling and forecasting through SAS, SCA and OxMetrics programming, FactSet fundamental data templates. This is intended to be a graduate-level textbook, and could be used as a primary text in upper level MBA and Financial Engineering courses, as well as a supplementary text for graduate courses in financial data analysis and financial investments.
ISBN: 9783030435479
Standard No.: 10.1007/978-3-030-43547-9doiSubjects--Topical Terms:
669372
Quantitative Finance.
LC Class. No.: HF5601-5689
Dewey Class. No.: 657
Quantitative Corporate Finance
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Chapter 1. Introduction: Capital Formation, Risk, and the Corporation -- Chapter 2. The Corporation and Other Forms of Business Organization -- Chapter 3. The Corporation Balance Sheet -- Chapter 4. The Annual Operating Statements: The Income Statement and Cash Flow Statement -- Chapter 5. Financing Current Operations and Efficiency Ratio Analysis -- Chapter 6. Financing Current Operations and the Cash Budget -- Chapter 7. Capital and New Issue Markets -- Chapter 8. The Equity of the Corporation: Common and Preferred Stock -- Chapter 9. Long-Term Debt -- Chapter 10. Debt, Equity, the Optimal Financial Structure and the Cost of Funds -- Chapter 11. Investing in Assets: Theory of Investment Decision Making -- Chapter 12. Regression Analysis and Estimating Regression Models -- Chapter 13. Time Series Modeling and the Forecasting Effectiveness of the U.S. Leading Economic Indicators -- Chapter 14. Risk and Return of Equity and the Capital Asset Pricing Model -- Chapter 15. Multi-Factor Risk Models and Portfolio Construction and Management -- Chapter 16. Options -- Chapter 17. Real Options -- Chapter 18. Mergers and Acquisitions -- Chapter 19. Liquidation, Failure, Bankruptcy, and Reorganization -- Chapter 20. Corporation Growth and Economic Growth and Stability -- Chapter 21. International Business Finance -- Chapter 22. Management-Stockholder Relations: Is Optimal Behavior All that is Necessary?.
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