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第二版,on-line有免费的第三版了 增加了一个章节的内容 其他章节无变化
This second edition maintains the approach of building up explanations from the simplest to ever-more complex scenarios. For example, rates of return, present values, and the law of one price are first explained in a world of certainty; then in a world with risk but no risk premium; followed by a world in which higher risk comes with higher expected returns; and finally in a world with imperfect markets. Numerical examples take center stage. Each step is easy. Students learn why the fundamentals make sense. That is, this book teaches not only the traditional finance canon, but also how to think in financial terms. This book is both more advanced and easier to understand than its competitors.
It features many small innovations. For example, an NPV checklist prevents common errors. The relation between tax-adjusted APV, WACC, and other perfect-market violations is demystified. The capital structure chapters explain how non-financial liabilities can finance the firm (and break M&M), how firms should act if financial markets are not efficient, and how stock returns greatly influence debt-ratio variation. |
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