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"Troughton, George H"
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Corporate Finance Workbook
by
Fridson, Martin S
,
Clayman, Michelle R
,
Troughton, George H
in
Corporations
,
Corporations -- Finance
,
Finance
2012
\"The book that fills the practitioner need for a distillation of the most important tools and concepts of corporate financeIn today's competitive business environment, companies must find innovative ways to enable rapid and sustainable growth not just to survive, but to thrive. Corporate Finance: A Practical Approach is designed to help financial analysts, executives, and investors achieve this goal with a practice-oriented distillation of the most important tools and concepts of corporate finance.Updated for a post-financial crisis environment, the Second Edition provides coverage of the most important issues surrounding modern corporate finance for the new global economy: Preserves the hallmark conciseness of the first edition while offering expanded coverage of key topics including dividend policy, share repurchases, and capital structure Current, real-world examples are integrated throughout the book to provide the reader with a concrete understanding of critical business growth concepts Explanations and examples are rigorous and global, but make minimal use of mathematics Each chapter presents learning objectives which highlight key material, helping the reader glean the most effective business advice possible Written by the experts at CFA Institute, the world's largest association of professional investment managers Created for current and aspiring financial professionals and investors alike, Corporate Finance focuses on the knowledge, skills, and abilities necessary to succeed in today's global corporate world\"--
Corporate Finance
2012
The book that fills the practitioner need for a distillation of the most important tools and concepts of corporate finance In today's competitive business environment, companies must find innovative ways to enable rapid and sustainable growth not just to survive, but to thrive. Corporate Finance: A Practical Approach is designed to help financial analysts, executives, and investors achieve this goal with a practice-oriented distillation of the most important tools and concepts of corporate finance. Updated for a post-financial crisis environment, the Second Edition provides coverage of the most important issues surrounding modern corporate finance for the new global economy: * Preserves the hallmark conciseness of the first edition while offering expanded coverage of key topics including dividend policy, share repurchases, and capital structure * Current, real-world examples are integrated throughout the book to provide the reader with a concrete understanding of critical business growth concepts * Explanations and examples are rigorous and global, but make minimal use of mathematics * Each chapter presents learning objectives which highlight key material, helping the reader glean the most effective business advice possible * Written by the experts at CFA Institute, the world's largest association of professional investment managers Created for current and aspiring financial professionals and investors alike, Corporate Finance focuses on the knowledge, skills, and abilities necessary to succeed in today's global corporate world.
Are Risk Premium Anomalies Caused by Ambiguity?
2000
Numerous studies have provided evidence of two equity return anomalies in recent years. The \"risk-premium puzzle\" is the anomaly that equity returns have been excessive relative to risk. The \"small-firm effect\" is the anomaly that risk premiums on small-cap stocks have been excessive relative to premiums on large-cap stocks. We present unique evidence that both of these anomalies may be caused by the presence of ambiguity. More generally, we propose that the current conceptions of risk are too limited to explain equity returns and, therefore, that the distinction between risk and uncertainty developed by Frank Knight approximately 80 years ago be revisited. As numerous other studies have found, risk in the traditional sense is primarily a function of the possibility of incurring a loss. Uncertainty (ambiguity) is directly related to lack of information and lack of confidence in estimating future distributions of possible returns and the possibility of incurring a loss.
Journal Article
Corporate finance
2012
The book that fills the practitioner need for a distillation of the most important tools and concepts of corporate finance In today's competitive business environment, companies must find innovative ways to enable rapid and sustainable growth not just to survive, but to thrive. Corporate Finance: A Practical Approach is designed to help financial analysts, executives, and investors achieve this goal with a practice-oriented distillation of the most important tools and concepts of corporate finance. Updated for a post-financial crisis environment, the Second Edition provides coverage of the most important issues surrounding modern corporate finance for the new global economy: Preserves the hallmark conciseness of the first edition while offering expanded coverage of key topics including dividend policy, share repurchases, and capital structure Current, real-world examples are integrated throughout the book to provide the reader with a concrete understanding of critical business growth concepts Explanations and examples are rigorous and global, but make minimal use of mathematics Each chapter presents learning objectives which highlight key material, helping the reader glean the most effective business advice possible Written by the experts at CFA Institute, the world's largest association of professional investment managers Created for current and aspiring financial professionals and investors alike, Corporate Finance focuses on the knowledge, skills, and abilities necessary to succeed in today's global corporate world.
Corporate Finance: A Practical Approach, Second Edition
by
CFA Michelle R. Clayman
,
CFA Martin S. Fridson
,
CFA George H. Troughton
in
Corporations
,
Finance
2012
The book that fills the practitioner need for a distillation of the most important tools and concepts of corporate finance In today's competitive business environment, companies must find innovative ways to enable rapid and sustainable growth not just to survive, but to thrive. Corporate Finance: A Practical Approach is designed to help financial analysts, executives, and investors achieve this goal with a practice-oriented distillation of the most important tools and concepts of corporate finance. Updated for a post-financial crisis environment, the Second Edition provides coverage of the most important issues surrounding modern corporate finance for the new global economy: Preserves the hallmark conciseness of the first edition while offering expanded coverage of key topics including dividend policy, share repurchases, and capital structure Current, real-world examples are integrated throughout the book to provide the reader with a concrete understanding of critical business growth concepts Explanations and examples are rigorous and global, but make minimal use of mathematics Each chapter presents learning objectives which highlight key material, helping the reader glean the most effective business advice possible Written by the experts at CFA Institute, the world's largest association of professional investment managers Created for current and aspiring financial professionals and investors alike, Corporate Finance focuses on the knowledge, skills, and abilities necessary to succeed in today's global corporate world.
Corporate finance workbook
by
Fridson, Martin S
,
Clayman, Michelle R
,
Troughton, George H
in
Business & Economics
,
Finance
,
Investments & Securities
2012
The workbook to accompany Corporate Finance: A Practical Approach, Second Edition