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from Inflation and Security Returns
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acquiring firms adjusted adjusted present value amount analysis approach assets assumed assumption average bonds borrowing capital budgeting capital markets capital structure cash balance cash flows cash management cent coefficients common stock constraint cost of capital debt capacity discount rate distribution dividend policy dividend yield earnings economic effect equation equilibrium equity estimates example expected return expected value factors financial management financial planning financial policy firm's firm’s funds future growth income increase instrumental variable interest rate internal rate investment decisions investors issue Journal of Finance lease leverage linear programming loan market value ment merger Modigliani net present value opportunities optimal option payments percent portfolio present value problem profits rate of return ratio regression residual risky securities shareholders shares short term simulation solution stock price stockholders systematic risk Table theory tion Tri Star uncertainty valuation variables zero