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EXPECTED RETURN AND RISK THE SELECTION PROCESS
PART TWO INVESTMENT IN ASSETS
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acceptance acquisition additional amount assets assume average balance bank bond borrower Capital Budgeting capital markets capital structure cash flows cash outflows Chapter commercial paper common stock compute convertible security Corporation correlation cost of capital cost of equity creditors debt depreciation determine discount rate distribution of possible dividend policy earnings per share economic equity capital estimates evaluate example expected return expected value factors Figure Financial and Quantitative financial manager financial ratios firm firm's funds income increase interest rate internal rate inventory investment projects investment proposals investors issue Journal of Finance lender leverage liquidity marginal market price market value maturity ment method million net-present value opportunity cost optimal percent period portfolio preferred stock present value probability distribution problem purchase rate of return ratio receivables required rate retained earnings risk risk-free rate sell standard deviation stockholders stockout tion trade credit utility valuation value of net-present