The relationship between risk, return and the cost of capital is contextualized by relating it to the needs of investors and borrowers, the historical evidence, and theories of choice and behavior.
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In this book, the relationship between risk, return and the cost of capital is contextualized by relating it to the needs of investors and borrowers, the historical evidence, and theories of choice and behavior. The text spans financial theory, its empirical tests and applications to real-world financial problems while keeping an entertaining easy-to-read style.
EVA R. PORRAS was Academic Dean of the Central European University Business School in Budapest, Hungary, and previously Director of Master Programs in Finance at the Instituto de Empresa in Madrid, Spain. With over two decades of working in the video, consulting, and transportation industries, she combines education and practical background to provide an applied cross-industry and international edge to the subject of cost of capital.
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Anbieter: Roland Antiquariat UG haftungsbeschränkt, Weinheim, Deutschland
216 x 140 mm. 246 p. Wie neu. Innen sehr sauberes ungelesenes Ex. Äußerlich minimale Lagerspuren vorhanden. 9780230201835 Sprache: Deutsch Gewicht in Gramm: 1000. Artikel-Nr. 187050
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Anbieter: AHA-BUCH GmbH, Einbeck, Deutschland
Buch. Zustand: Neu. Druck auf Anfrage Neuware - Printed after ordering - As investors, managers, or in our various capacities, we learn from experience to deal with everyday financial problems and to respond rationally to the ever-changing economic environment. However, to optimize our decision-making, we need more than 'rules of thumb'. We need to understand our choices, and the reasons market players behave the way they do. The cost of capital is a topic of particular interest in the current financial tumultuous times. In this book Dr Porras provides a comprehensive overview of the subject, contextualizing the relationship between risk, return and the cost of capital by relating it to the needs of investors and borrowers, the historical evidence and theories of choice and behaviour. The content spans financial theory, its empirical tests and applications to real-world contemporary financial problems. The applied focus of this book provides answers to the questions most managers might have, in an entertaining style. It includes simple numerical examples and graphs to help understanding of the concepts. The relationship between risk, return and the cost of capital is contextualized by relating it to the needs of investors and borrowers, the historical evidence, and theories of choice and behavior. Artikel-Nr. 9780230201835
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