Handbook of the Economics of Finance: Corporate Finance, Volume 2A

  • 20h 4m
  • G. M. Constantinides, M. Harris, R. M. Stulz (eds)
  • Elsevier Science and Technology Books, Inc.
  • 2013

This two-volume set of 23 articles authoritatively describes recent scholarship in corporate finance and asset pricing. Volume 1 concentrates on corporate finance, encompassing topics such as financial innovation and securitization, dynamic security design, and family firms. Volume 2 focuses on asset pricing with articles on market liquidity, credit derivatives, and asset pricing theory, among others. Both volumes present scholarship about the 2008 financial crisis in contexts that highlight both continuity and divergence in research. For those who seek insightful perspectives and important details, they demonstrate how corporate finance studies have interpreted recent events and incorporated their lessons.

  • Covers core and newly-developing fields
  • Explains how the 2008 financial crises affected theoretical and empirical research
  • Exposes readers to a wide range of subjects described and analyzed by the best scholars

In this Book

  • Introduction to the Series
  • Securitization
  • Dynamic Security Design and Corporate Financing
  • Do Taxes Affect Corporate Decisions? A Review
  • Executive Compensation—Where We Are, and How We Got There
  • Behavioral Corporate Finance—An Updated Survey
  • Law and Finance after a Decade of Research,
  • Endogeneity in Empirical Corporate Finance
  • A Survey of Venture Capital Research
  • Entrepreneurship and the Family Firm
  • Financing in Developing Countries
  • Financial Intermediation, Markets, and Alternative Financial Sectors
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