作者 | Mark Grinblatt (University of California-- Los Angeles) |
出版社 | McGraw-Hill |
出版时间 | 2002-01-01 |
特色:
This textbook represents the cutting edge of what the top scholars and practitioners know about finance-at long last made practical and accessible. It is a corporate book, yet it is cutting edge investment theory, presenting the forefront on interpreting what the data says about the theories, cutting edge on risk management, capital budgeting, and on the issues that need to be considered to determine both a firm's proper mix of debt and equity financing and its value maximizing dividend policy. It tells the practitioners/students how to do it and is the first book to teach, with careful step-by-step pedagogy,, and how to think for themselves about it. 本书深受金融领域高层学者及实际工作者的青睐,它将金融领域的前沿问题以易于理解的、与实际相结合的方式表述出来,关注投资理论、风险管理、资本预算等各方面*前沿的理论研究。此外,该书采用层层剖析的手法,使学习者在循序渐进中全面掌握金融领域*新研究成果。本书原名《Financial Markets & Corporate Strategy, 2nd》。