Liebe Besucherinnen und Besucher,
aufgrund unseres Sommerfestes sind wir am 03. September 2026 bis 14 Uhr erreichbar. Am 04. September 2026 sind wir wieder wie gewohnt für Sie da. Vielen Dank für Ihr Verständnis.
Ihr Team von Sack Fachmedien
Buch, Englisch, 924 Seiten, Format (B × H): 216 mm x 276 mm, Gewicht: 2240 g
Buch, Englisch, 924 Seiten, Format (B × H): 216 mm x 276 mm, Gewicht: 2240 g
ISBN: 978-1-292-02158-4
Verlag: Pearson
This classic textbook in the field, now completely revised and updated, provides a bridge between theory and practice. Appropriate for the second course in Finance for MBA students and the first course in Finance for doctoral students, the text prepares students for the complex world of modern financial scholarship and practice. It presents a unified treatment of finance combining theory, empirical evidence and applications.
Autoren/Hrsg.
Weitere Infos & Material
- 1. Introduction to Capital Markets, Consumption and Investment.
- 2. Investment Decisions: The Certainty Case.
- 3. Theory of Choice Under Uncertainty: Utility Theory.
- 4. State-Preference Theory.
- 5. Objects of Choice.
- 6. Market Equilibrium: CAPM and APT.
- 7. Pricing Contingent Claims: Option Price Theory and Evidence.
- 8. Futures Contracts and Markets - Term Structure - Cox, Ingersoll, Ross.
- 9. Multiperiod Aspects of Financial Theory - Real Options - Investment.
- 10. Efficient Capital Markets: Theory.
- 11. Efficient Capital Market: Evidence.
- 12. Information Asymmetry: Agency Cost Theory and Signaling.
- 13 Corporate Policy
- 14. Valuation and Tax Policy.
- 15. Capital Structure.




