Financial Management and Policy |
Contents
CONCEPTS IN VALUATION | 13 |
Measuring the return from a stock investment | 25 |
Measuring riskthe standard deviation 29 Investor utility preferences | 31 |
Copyright | |
54 other sections not shown
Common terms and phrases
assets and required assume assumptions bank bankruptcy costs beta bond borrowing calculate Capital Budgeting capital markets capital structure capital-asset pricing model cash flows cash outflows chapter common stock corporate cost of capital debt debtholders decision depreciation determine discount rate distribution of possible dividend policies earnings per share evaluation excess returns expected return expected value factor Financial and Quantitative Financial Management firm firm's Foundations of finance funds future greater income increase inflation interest rate internal rate inventory Investment in assets investment projects investment proposals investors issue Journal of Finance lease lender leverage liquidity loan market portfolio market price market value merger million net present value option pricing overall payments percent period preferred stock present value probability distribution profitability Quantitative Analysis rate of return ratio required rate required returns risk-free rate sell standard deviation stockholders systematic risk tax rate tax shield terminal value utility valuation