ISE Fundamentals of Corporate Finance, 10th Edition by Richard Brealey, Paperback, 9781260566093 | Buy online at The Nile
Departments
 Free Returns*

ISE Fundamentals of Corporate Finance, 10th Edition

Author: Richard Brealey, Stewart Myers and Alan Marcus  

ISBN / EAN: 9781260566093
This textbook is prescribed for the following courses:
FINC 201 - Business Finance University of Canterbury
MBAZ603- - Managerial Finance University of Canterbury
Use our Textbook Finder to find the rest of your Textbooks!
Product Unavailable

PRODUCT INFORMATION

Description

Brealey, Fundamentals of Corporate Finance 10e is an introduction to corporate finance that focuses on how companies invest in real assets, how they raise the money to pay for the investments, and how those assets ultimately affect the value of the firm. The new edition provides a broad overview of the financial landscape. It also gives students a framework for systematically thinking about most of the important financial problems that both firms and individuals are likely to confront.

Read more

About the Author

Richard A. Brealey - Emeritus Professor of Finance at London Business School. He is the former president of the European Finance Association and a former director of the American Finance Association. He is a fellow of the British Academy and has served as a special adviser to the Governor of the Bank of England and director of a number of financial institutions. Other books written by Professor Brealey include Introduction to Risk and Return from Common Stocks.Stewart C. Myers - Emeritus Professor of Financial Economics at MIT’s Sloan School of Management. He is past president of the American Finance Association, a research associate at the National Bureau of Economic Research, a principal of the Brattle Group Inc., and a retired director of Entergy Corporation. His research is primarily concerned with the valuation of real and financial assets, corporate financial policy, and financial aspects of government regulation of business. He is the author of influential research papers on many topics, including adjusted present value, rate of return regulation, pricing and capital allocation in insurance, real options, and moral hazard and information issues in capital structure decisions.Alan J. Marcus is a Professor of Finance in the Wallace E. Carroll School of Management at Boston College. His main research interests are in derivatives and securities markets. He is co-author (with Zvi Bodie and Alex Kane) of the texts Investments and Essentials of Investments. Professor Marcus has served as a research fellow at the National Bureau of Economic Research. Professor Marcus also spent two years at Freddie Mac, where he helped to develop mortgage pricing and credit risk models. He currently serves on the Research Foundation Advisory Board of the CFA Institute.

Read more

Product Details

Publisher
McGraw-Hill Education
Published
5th May 2019
Edition
10th
Pages
1600
ISBN
9781260566093

Returns

This item is eligible for free returns within 30 days of delivery. See our returns policy for further details.

Product Unavailable
ISBN / EAN: 9781260566093
This textbook is prescribed for the following courses:
FINC 201 - Business Finance University of Canterbury
MBAZ603- - Managerial Finance University of Canterbury
Use our Textbook Finder to find the rest of your Textbooks!