Offers practical coverage of financial markets and corporate strategy, across the international context. This title includes: mathematical rigour and mathematical appendices; coverage of European institutions, markets and systems; and, discussion and comparision of international markets and global capital markets.
Talks about investment theory, theories on risk management, capital budgeting, and on the issues that need to be considered to determine both a firm's proper mix of debt and equity financing and its value maximizing dividend policy. This title aims to tell the practitioner/student how to do it, and how to think for themselves about it.