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solutions manual Financial Economics Fabozzi Neave Zhou 1st edition
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Table of Contents
CHAPTER 1 Introduction 1
PART I FINANCE IN A CERTAINTY WORLD WITH A PERFECT CAPITAL MARKET 13
CHAPTER 2 Consumer Financial Decisions 15
CHAPTER 3 Creating Wealth by Investing in Productive Opportunities 31
CHAPTER 4 How Investors Value Firms 50
CHAPTER 5 Firm Financing Decisions in a Perfect Capital Market 78
CHAPTER 6 Firm Investment Decisions 102
PART II FINANCIAL SYSTEM 119
CHAPTER 7 Financial Systems, Governance, and Organization 121
CHAPTER 8 Market, Intermediary, and Internal Governance 151
PART III TOOLS FOR COPING WITH RISK 177
CHAPTER 9 The Microeconomic Foundations of Financial Economics 179
CHAPTER 10 Contingent Claims and Contingency Strategies 199
CHAPTER 11 Risk and Risk Management 216
CHAPTER 12 On Choosing Risk Measures 234
PART IV SELECTION AND PRICING OF RISKY ASSETS 255
CHAPTER 13 Mean-Variance Portfolio Choice 257
CHAPTER 14 Capital Asset Pricing Model 287
CHAPTER 15 The APTand Factor Models 317
CHAPTER 16 General Principles of Asset Pricing 339
CHAPTER 17 Pricing Corporate Securities 366
PART V DERIVATIVE INSTRUMENTS 383
CHAPTER 18 Pricing Derivatives by Arbitrage: Linear Payoff Derivatives 385
CHAPTER 19 Pricing Derivatives by Arbitrage: Nonlinear Payoff Derivatives 414
PART VI CAPITAL MARKET IMPERFECTIONS AND THE LIMITS TO ARBITRAGE 449
CHAPTER 20 Capital Market Imperfections and Financial Decision Criteria 451
CHAPTER 21 Impediments to Arbitrage 479
PART VII CAPITAL STRUCTURE DECISIONS IN IMPERFECT CAPITAL MARKETS 499
CHAPTER 22 When Capital Structure Decisions Matter 501
CHAPTER 23 Financing Decisions in Practice 522
CHAPTER 24 Financial Contracting and Deal Terms 545
PART VIII INCORPORATING RISK IN CAPITAL BUDGETING DECISIONS 577
CHAPTER 25 Capital Expenditure Plans in a Risky World 579
CHAPTER 26 Evaluating Project Risk in Capital Budgeting 607
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