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Strategy, Value and Risk: Industry Dynamics and Advanced Financial Management by
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eBay item number:386717673309
Item specifics
- Condition
- Brand New: A new, unread, unused book in perfect condition with no missing or damaged pages. See all condition definitionsopens in a new window or tab
- ISBN-13
- 9783030219802
- Type
- NA
- Publication Name
- NA
- ISBN
- 9783030219802
- Publication Year
- 2020
- Format
- Trade Paperback
- Language
- English
- Book Title
- Strategy, Value and Risk : Industry Dynamics and Advanced Financial Management
- Item Length
- 9.3in
- Publisher
- Springer International Publishing A&G
- Genre
- Business & Economics
- Topic
- Finance / General, Accounting / Managerial, Corporate Finance / General, Investments & Securities / General
- Item Width
- 6.1in
- Item Weight
- 16 Oz
- Number of Pages
- Xxiv, 226 Pages
About this product
Product Information
Explores how shifts in industry sectors and boundaries will be defined by new technologiesShowcases the enormous value that can be created and lost for investors and consumersInstructs how a firm can participate in transformations in technologyIllustrates the accounting, economic, finance and quantitative analytics concepts in each case study and then applies these concepts to the issues discussed
Product Identifiers
Publisher
Springer International Publishing A&G
ISBN-10
3030219801
ISBN-13
9783030219802
eBay Product ID (ePID)
12050395589
Product Key Features
Book Title
Strategy, Value and Risk : Industry Dynamics and Advanced Financial Management
Format
Trade Paperback
Language
English
Topic
Finance / General, Accounting / Managerial, Corporate Finance / General, Investments & Securities / General
Publication Year
2020
Genre
Business & Economics
Number of Pages
Xxiv, 226 Pages
Dimensions
Item Length
9.3in
Item Width
6.1in
Item Weight
16 Oz
Additional Product Features
Number of Volumes
1 Vol.
Lc Classification Number
Hg4001-4285
Edition Number
4
Table of Content
CONTENTS Part I Strategy, Value and Risk 1. Strategy 1.1 Strategy and value 1.2 The external environment 1.2.1 Technology and innovation 1.2.2 Industry dynamics 1.2.3 Industry and globalization 1.2.4 Industry and climate change 1.3 Transformation and the firm 1.3.1 Innovation and the firm 1.3.2 Industry boundaries 1.3.3 Strategy and the environment 1.3.4 Future Value Appendix 1 - Classifying industry sectors today References 2. Value 2.1 Overview 2.2 The accounting foundations 2.2.1 Stocks and flows 2.2.2 Ratio analysis 2.2.3 Residual earnings and free cash flow 2.2.4 Intangible assets and intellectual property 2.2.5 Pro forma analysis 2.3 Corporate Investments 2.3.1 Investment methods 2.3.2 DCF valuation 2.3.3 The Net Present Value Rule 2.3.4 Real Options 2.3.5 Valuing Real Options 2.3.6 Types of Real Options 2.4 Corporate finance 2.4.1 Overview 2.4.2 Theories of firm value 2.4.3 Developments in the theories of firm value 2.5 Optimizing the firm structure Appendix 2 Modularity References 3. Risk 3.1 Investment risk 3.2 Corporate risk management 3.3 The risk drivers 3.4 Value and risk References Part II Quantitative Analytics 4. Financial statistics 4.1 Time series analysis 4.2 Regression models 4.3 Volatility 4.4 The lognormal distribution 4.5 Volatility and the firm References 5. Derivatives 5.1 Futures, forwards and options 5.2 The replicating portfolio and risk-neutral valuation 5.3 A model for asset prices 5.4 The Black-Scholes formula 5.5 Numerical techniques 5.5.1 Monte Carlo Simulation 5.5.2 The binomial and trinomial method References 6. Derivative model applications 6.1 Spot price models 6.1.1 Geometric Brownian motion 6.1.2 Mean reversion 6.1.3 Jumps and seasonal patterns 6.2 Stochastic volatility 6.3 Forward Curve Models 6.3.1 A single factor model for the forward curve 6.3.2 The dynamics of the forward curve 6.3.3 The relationships between forward curve and spot price models 6.4 Convertible bonds 6.5 Compound options 6.6 Model risk References Part III The analysis of transformation and value Overview 7. Platforms, data and analytics 7.1 Platforms 7.2 Cloud computing 7.3 Artificial intelligence 7.4 Quantum computing 7.5 Data 7.6 Analytical management 7.7 IT investments 7.8 Patent options References 8. Energy 8.1 The global energy markets 8.2 Transformation of the energy sector 8.3 Natural gas and renewables 8.4 Energy Statistics 8.4.1 The Schwartz single factor model 8.4.2 Schwartz single factor futures and forward pricing 8.4.3 Volatility 8.4.4 Correlations 8.4.5 Simulating mean reversion 8.4.6 Estimating the mean reversion rates 8.4.7 The jump parameters 8.4.8 The half-life of a mean reverting process 8.4.9 Energy spot price model simulation 8.4.10 Wind power statistics 8.5 Natural gas generation valuation 8.5.1 Overview 8.5.2 Energy forward curves 8.5.3 Energy derivatives 8.5.4 Energy spread options 8.5.5 Natural gas peaking power plant valuation 8.5.6 Energy analysis and valuation References 9. Pharmaceuticals and Biotechnology 9.1 Overview 9.2 New drug development 9.3 Valuation 9.3.1 The revenues 9.3.2 The research and development costs 9.3.3 The cost of capital 9.3.4 NPV valuation 9.3.5 The Expected NPV Valuation 9.4 The real options method References 10. A Growth Firm 10.1 Overview 10.2 The valuation of growth 10.3 A growth case study 10.4 Growth options 10.5 A growth option case study References 11. Firm transformation and divesture 11.1 Industry decline 11.2 Strategies in declining industries 11.3 Industry decline and transformation 11.4 Investor valuation of the abandonment option 11.5 An abandonment option case study References
Copyright Date
2019
Dewey Decimal
658.152
Series
Global Financial Markets Ser.
Dewey Edition
23
Illustrated
Yes
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