The Theory of Corporate Finance (Hardcover)
暫譯: 公司財務理論 (精裝版)
Jean Tirole
- 出版商: Princeton University
- 出版日期: 2006-01-01
- 售價: $1,750
- 貴賓價: 9.8 折 $1,715
- 語言: 英文
- 頁數: 656
- 裝訂: Hardcover
- ISBN: 0691125562
- ISBN-13: 9780691125565
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商品描述
The past twenty years have seen great theoretical and empirical advances in the field of corporate finance. Whereas once the subject addressed mainly the financing of corporations--equity, debt, and valuation--today it also embraces crucial issues of governance, liquidity, risk management, relationships between banks and corporations, and the macroeconomic impact of corporations. However, this progress has left in its wake a jumbled array of concepts and models that students are often hard put to make sense of.
Here, one of the world's leading economists offers a lucid, unified, and comprehensive introduction to modern corporate finance theory. Jean Tirole builds his landmark book around a single model, using an incentive or contract theory approach. Filling a major gap in the field, The Theory of Corporate Finance is an indispensable resource for graduate and advanced undergraduate students as well as researchers of corporate finance, industrial organization, political economy, development, and macroeconomics.
Tirole conveys the organizing principles that structure the analysis of today's key management and public policy issues, such as the reform of corporate governance and auditing; the role of private equity, financial markets, and takeovers; the efficient determination of leverage, dividends, liquidity, and risk management; and the design of managerial incentive packages. He weaves empirical studies into the book's theoretical analysis. And he places the corporation in its broader environment, both microeconomic and macroeconomic, and examines the two-way interaction between the corporate environment and institutions.
Setting a new milestone in the field, The Theory of Corporate Finance will be the authoritative text for years to come.
商品描述(中文翻譯)
過去二十年,企業金融領域在理論和實證方面取得了重大進展。曾幾何時,這個主題主要涉及公司的融資——股權、債務和估值——而今天它還涵蓋了治理、流動性、風險管理、銀行與企業之間的關係以及企業的宏觀經濟影響等重要議題。然而,這些進展卻留下了一系列混亂的概念和模型,學生們常常難以理解。
在這裡,世界頂尖經濟學家之一提供了一個清晰、統一且全面的現代企業金融理論介紹。Jean Tirole圍繞一個單一模型構建他的里程碑著作,採用激勵或契約理論的方法。《企業金融理論》填補了該領域的一個重大空白,是研究企業金融、產業組織、政治經濟學、發展和宏觀經濟學的研究生和高年級本科生不可或缺的資源。
Tirole傳達了組織原則,這些原則結構了當今關鍵管理和公共政策問題的分析,例如企業治理和審計的改革;私募股權、金融市場和收購的角色;槓桿、股息、流動性和風險管理的有效決定;以及管理激勵方案的設計。他將實證研究融入書中的理論分析中,並將企業置於其更廣泛的環境中,包括微觀經濟和宏觀經濟,並檢視企業環境與機構之間的雙向互動。
《企業金融理論》在該領域樹立了新的里程碑,將成為未來幾年的權威文本。