By providing a solid theoretical basis, this book introduces modern
finance to readers, including students in science and technology, who
already have a good foundation in quantitative skills. It combines the
classical, decision-oriented approach and the traditional organization
of corporate finance books with a quantitative approach that is
particularly well suited to students with backgrounds in engineering
and the natural sciences. This combination makes finance much more
transparent and accessible than the definition-theorem-proof pattern
that is common in mathematics and financial economics. The book's main
emphasis is on investments in real assets and the real options
attached to them, but it also includes extensive discussion of topics
such as portfolio theory, market efficiency, capital structure and
derivatives pricing. Finance equips readers as future managers with
the financial literacy necessary either to evaluate investment
projects themselves or to engage critically with the analysis of
financial managers. Supplementary material is available at
www.cambridge.org/wijst.
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Produktdetaljer
ISBN
9781139610964
Publisert
2013
Utgave
1. utgave
Utgiver
Vendor
Cambridge University Press
Språk
Product language
Engelsk
Format
Product format
Digital bok
Forfatter