金融学教科书 Financial theory and corporate policy 财务理论与公司政策(Copeland)
金融学教科书系列——
英国女王大学和华威大学金融学硕士研究生就读四年所用的教科书。
Author(s): Copeland, Thomas E;Weston, J Fred;Shastri, Kuldeep
Series: Pearson custom library; Always learning
Publisher: Pearson,
Year: 2013;2014
ISBN: 1292021586,9781292021584
本科第三年
Copeland Thomas E and J Fred Weston, Financial Theory and Corporate Policy. 4th edition, Pearson Addison Wesley. ISBN-13: 9780321127211.
本书算是中高阶的了,里面模型很多,文字较少,需要老师很详尽的讲解和资料才能读完,不大适合自学。
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这本经典的金融学教材现已经过全面修订和更新,为理论与实践之间架起了一座桥梁。该教材适合作为 MBA 学生的金融学第二门课程和博士生的金融学第一门课程,帮助学生为复杂的现代金融学术和实践世界做好准备。它结合理论、实证证据和应用,对金融学进行了统一处理。
Cover......Page 1
Table of Contents......Page 4
1. Introduction: Captial Markets, Consumption, and Investment......Page 6
2. Investment Decisions: The Certainty Case......Page 20
3. Theory of Choice Under Uncertainty: Utility Theory......Page 48
4. State Preference Theory......Page 78
5. Objects of Choice......Page 104
6. Market Equilibrium: CAPM and APT......Page 150
7. Pricing Contingent Claims: Option Price Theory and Evidence......Page 202
8. Futures Contracts and Markets - Term Structure - Cox, Ingersoll, Ross......Page 262
9. Multiperiod Capital Budgeting under Uncertainty: Real Options Analysis......Page 308
10. Efficient Captial Markets: Theory......Page 356
11. Efficient Captial Markets: Evidence......Page 380
12. Information Asymmetry and Agency Theory......Page 418
13. Valuation and Tax Policy......Page 468
14. Capital Structure and the Cost of Capital: Theory and Evidence......Page 528
15. Dividend Policy: Theory and Empirical Evidence......Page 616
16. Applied Issues in Corporate Finance......Page 668
17. Acquisitions, Divestitures, Restructuring, and Corporate Governance......Page 724
18. International Financial Management......Page 790
Appendix: Discounting......Page 836
Appendix: Matrix Algebra......Page 848
Appendix: An Introduction to Multiple Regression......Page 864
Appendix: Calculus and Optimization......Page 880
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.
(Pearson custom library_ Always learning) Copeland, Thomas E_Weston, J Fred_Shas.pdf
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