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Table of contents (11 chapters)
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Introduction
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The Analysis of Performance and Investments
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Quantitative Analytics and Methods
Reviews
'For the reader looking for a clear and concise introduction to real options, this book hits the spot. While the focus is on real options analysis, Rogers provides a pleasing blend of financial engineering, modern finance, and accounting-based valuation, all with the view of understanding the value from strategies and all under the eye of an informed, experienced practitioner' - Stephen H. Penman, George O. May Professor of Accounting, Columbia Business School, New York, USA
'Real option theory represents an innovative approach to valuation. This book does a sound job of blending theory and practice. The inclusion of case studies is useful. The addition of material on corporate finance theory and financial statement in the Second Edition enhances the utility of the book.' - Satyajit Das, Risk Consultant and author
'Jamie Rogers' compact treatment of real options invites managers to learn the field by studying its stories and successes, with just enough theory to demonstrate the rigor of thought beyond the case studies. No manager can fully understand modern strategy and valuation without some knowledge of real options, and this book provides a strong starting point.' - David C. Shimko, Chief Risk Officer, NewOak Capital, New York, USA
'The idea that options exist in almost every decision scenario is intuitively sensible. What we need to do is recognize them, assess their value and include that value in the decision making process. This concisebook effectively gets those two basic ideas over in a manner that can be understood by even the most mathematically-challenges executives.' - Maria Barbera, Innovations E-newsletter
About the author
Bibliographic Information
Book Title: Strategy, Value and Risk
Book Subtitle: A Guide to Advanced Financial Management
Authors: Jamie Rogers
Series Title: Global Financial Markets
DOI: https://doi.org/10.1057/9780230392687
Publisher: Palgrave Macmillan London
eBook Packages: Palgrave Economics & Finance Collection, Economics and Finance (R0)
Copyright Information: Palgrave Macmillan, a division of Macmillan Publishers Limited 2013
Softcover ISBN: 978-1-349-35199-2Published: 01 January 2013
eBook ISBN: 978-0-230-39268-7Published: 03 April 2013
Series ISSN: 2946-3831
Series E-ISSN: 2946-384X
Edition Number: 3
Number of Pages: XVII, 224
Topics: Business Strategy/Leadership, Accounting/Auditing, Risk Management, Capital Markets, Economics, general, Public Finance