Stock Market Reaction to Corporate Strategic Decisions

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Publisher :
ISBN 13 :
Total Pages : 12 pages
Book Rating : 4.:/5 (129 download)

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Book Synopsis Stock Market Reaction to Corporate Strategic Decisions by : Srinivasan Suresh

Download or read book Stock Market Reaction to Corporate Strategic Decisions written by Srinivasan Suresh and published by . This book was released on 2006 with total page 12 pages. Available in PDF, EPUB and Kindle. Book excerpt: In this paper, we have studied the stock market's impact to public announcement of strategic decisions of Indian companies. We have used the event study methodology to assess whether there is an increase in firm value surrounding the days of such public announcements. The corporate strategic announcements include proposed acquisitions, merger announcements, joint venture creations, alliance formations and capital expenditure and Ramp;D expenditure intents. We have further analyzed the strategic announcements into different categories and have tried to capture the effects of size of announcement, the term of the announcement, whether the announcement relates to strategic activities within the country or outside the country and whether the announcement relates to 'Government' owned or 'Privately' owned companies. The results indicate that the stock market reacts negatively to public announcements of corporate strategic decisions.

Finance for Strategic Decision-Making

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Publisher : John Wiley & Sons
ISBN 13 : 0787974196
Total Pages : 323 pages
Book Rating : 4.7/5 (879 download)

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Book Synopsis Finance for Strategic Decision-Making by : M. P. Narayanan

Download or read book Finance for Strategic Decision-Making written by M. P. Narayanan and published by John Wiley & Sons. This book was released on 2004-04-26 with total page 323 pages. Available in PDF, EPUB and Kindle. Book excerpt: Finance for Strategic Decision Making demystifies and clarifies for non-financial executives the basics of financial analysis. It shows how they can make important financial decisions that can critically enhance their institution’s ability to respond to competitive challenges, undertake new projects, overcome financial setbacks, and most importantly, create shareholder value. Written by M. P. Narayanan and Vikram K. Nanda—two of the country’s leading authorities on financial strategy—this book offers a practical guide for using financial analysis to enhance strategicdecision making. The book includes a coherent framework that outlines practical and intellectually sound guidance for executives who must make strategic decisions. Finance for Strategic Decision Making Explains the role of finance in corporate strategy Offers guidance on resource allocation decisions Explores how to determine the right balance of debt and equity capital to maximize firm value Demonstrates how to use payout policy as a strategic tool Clarifies if a merger, acquisition, or divestiture is in the best interest of an organization Shows how to manage risk Reveals how to measure value created and the effectiveness of upper level management

Corporate Governance and Strategic Decision Making

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Publisher : BoD – Books on Demand
ISBN 13 : 9535135538
Total Pages : 228 pages
Book Rating : 4.5/5 (351 download)

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Book Synopsis Corporate Governance and Strategic Decision Making by : Lawrence Emeagwali

Download or read book Corporate Governance and Strategic Decision Making written by Lawrence Emeagwali and published by BoD – Books on Demand. This book was released on 2017-09-20 with total page 228 pages. Available in PDF, EPUB and Kindle. Book excerpt: This edited volume aims to intimate and orient readers on the current state of corporate governance and strategic decision making a decade after the global financial crises. In particular, it sheds more light on the current state of affairs of corporate governance mechanisms, codes, and their enforcement as well as novel issues arising. The ten constituent chapters contained herein are authored by seasoned academics with research interests in the areas of corporate governance, strategic management, and sustainable management practices. It provides up-to-date theoretical and empirical evidence of such corporate governance issues as corporate governance codes, corporate fraud, quality of earnings, strategic decision making, corporate social responsibility, sustainable management, and sustainable growth strategies. Irrespective of the diverse nature and span of the topics included, this edited volume is divided into three sections and structured to read as a unit.

A Cross-Sectional Analysis of the Stock Market's Reaction to Corporate Investment Decisions

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Publisher :
ISBN 13 :
Total Pages : pages
Book Rating : 4.:/5 (13 download)

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Book Synopsis A Cross-Sectional Analysis of the Stock Market's Reaction to Corporate Investment Decisions by : Randall Morck

Download or read book A Cross-Sectional Analysis of the Stock Market's Reaction to Corporate Investment Decisions written by Randall Morck and published by . This book was released on 2013 with total page pages. Available in PDF, EPUB and Kindle. Book excerpt: This paper investigates the systematic variation of stock price reactions to corporate capital budget announcements. We first use an event study methodology to measure the market's reaction to capital investment announcements. These reactions are then regressed upon measures of agency problems and measures of intangible assets. We find that, on average, the market's reaction to both capital budget increases and decreases is statistically insignificant. We also find that there is support for the idea that agency problems affect the market's valuation of investment decisions. Furthermore, there is support for the hypothesis of managerial entrenchment. We also find support for the notion that investment decisions made by managers with strong reputations are more highly valued than those made by other managers. We find no support for the notions that the stock market is myopic or that managers behave myopically. There is also no support for the idea that firms with high levels of cash flow invest inefficiently.

The Institutionalization of Divestitures

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Publisher : Springer-Verlag
ISBN 13 : 3834994677
Total Pages : 110 pages
Book Rating : 4.8/5 (349 download)

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Book Synopsis The Institutionalization of Divestitures by : Miriam Flickinger

Download or read book The Institutionalization of Divestitures written by Miriam Flickinger and published by Springer-Verlag. This book was released on 2009-07-25 with total page 110 pages. Available in PDF, EPUB and Kindle. Book excerpt: Miriam Flickinger investigates the stock market reaction to divestiture announcements from an institutionally-based perspective. Using meta-analytic procedures, the author extends the present financially dominated understanding of divestiture performance implications. She shows that divestitures are socially embedded when the value of a firm’s divestiture depends on the prevailing institutional logics within the business society.

Exploratory Study of 3 Cases of Corporate Crisis and Stock Market Reaction

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Publisher :
ISBN 13 :
Total Pages : 28 pages
Book Rating : 4.:/5 (13 download)

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Book Synopsis Exploratory Study of 3 Cases of Corporate Crisis and Stock Market Reaction by : Morten Spanner

Download or read book Exploratory Study of 3 Cases of Corporate Crisis and Stock Market Reaction written by Morten Spanner and published by . This book was released on 2019 with total page 28 pages. Available in PDF, EPUB and Kindle. Book excerpt: The topic of overreaction, and reactions in the stock-market is highly important to understand for anybody with a financial background, or with a general interest in the stock-market. To this extend it seemed as authors would agree that overreactions in the stock-market is a common concept, however there is a great deal of uncertainty about how, and when it would happen. Therefore, this paper will have a quantitative exploratory case-study approach, with the purpose of providing more insights in how the market reacts to certain situations. It was chosen to use legitimacy as the criteria for the crisis events, meaning all the cases presented in the paper will have experienced legitimacy issues in relations to the crisis. A theoretical framework will be used for the analysis that highlights some of the important aspects from the crisis situations, which will in the end be used for a combined comparison. What was found in this paper was that the level of uncertainty information and uncertainty risk that a crisis created could play a significant role when it comes to reactions from the market. It was seen that the importance of having a proper response strategy to legitimacy crisis situations was fairly minimal. The case-studies showed that the company who seemed to have the worst response to the event, was also the company that experienced the least impact from the crisis, in terms of stock-market reaction.

Strategic Value Management

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Publisher : John Wiley & Sons
ISBN 13 : 047046710X
Total Pages : 396 pages
Book Rating : 4.4/5 (74 download)

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Book Synopsis Strategic Value Management by : Juan Pablo Stegmann

Download or read book Strategic Value Management written by Juan Pablo Stegmann and published by John Wiley & Sons. This book was released on 2009-10-05 with total page 396 pages. Available in PDF, EPUB and Kindle. Book excerpt: Innovative strategic management solutions for today's market Strategic Value Management addresses common problems among business managers and other professionals involved in thinking about developing and managing organizations. In it, author Juan Pablo Stegmann integrates all strategic management and business strategy into an innovative standard that introduces key metrics to strategic management and stock value creation. He argues that most complex business issues can be reduced to the three dimensions of stock value creation-profits, sales growth, and capital-that are linked to three critical strategic management decisions-competition, innovation, and resources. His new approach indicates that every strategy has a clear dollar metric, which can measure its consequences of the strategies in terms of stock value. Competitive and growth strategies are analyzed along with economic, financial, dynamic, and contingent approaches Includes a companion CD-ROM, which contains Stegmann's proven model for strategic management and stock value creation Ethical consequences of strategic decisions are introduced-showing how ethics are linked to long-term stock value creation Explains the roots of the current financial crisis by examining the link between the financial world and strategic management, and proposes possible solutions For any looking to enhance their understanding of this discipline, Strategic Value Management offers a new conceptual model for thinking about business strategy and its link to stock value creation.

Real Options and Corporate Strategy

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Publisher : diplom.de
ISBN 13 : 3832421904
Total Pages : 218 pages
Book Rating : 4.8/5 (324 download)

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Book Synopsis Real Options and Corporate Strategy by : Christian Berner

Download or read book Real Options and Corporate Strategy written by Christian Berner and published by diplom.de. This book was released on 2000-03-01 with total page 218 pages. Available in PDF, EPUB and Kindle. Book excerpt: Inhaltsangabe:Abstract: Every investment, for example new facilities, new products, or strategic partnerships is driven by the pursuit of creating values . Major changes are going on in the valuation of investments. Although the classic shareholder value concept is still a valuable source for identification of value drivers of strategic management, it needs to be extended in terms of its ability to evaluate long-term investment choices. Far too long capital budgeting has only been considered under aspects of its contribution to an overall added economic value rather than focusing on a firm s resources. Recent research emphasized the strategic value of resources leading to formulate the approach of a resource-based view of a firm s activities. Usually management tries to capture future development with static methods of capital budgeting, i.e. future cash-flows are discounted with a fixed risk-adjusted discount rate. However, the finding of present values and capitalized values could produce pitfalls in investment decisions. Strategic investment decisions are often characterized by a wide range of possibilities to react flexibly to the changing business environment. This area of tolerance in investment decisions could not be captured with traditional instruments of investment evaluation. In the 1970s, the discounted-cash-flow analysis (DCF) emerged and proved its practicability. This method assumes a now or never approach in undertaking a project. Some authors suggest adding the theory of option prices to investment decisions, as in the 1970s and the 1980s developments in the valuation of capital-investment opportunities based on option pricing revolutionized capital budgeting. Option pricing allows adaptation and revision of future decisions in order to capture managerial flexibility and to finally capitalize on any possible future development. To incorporate these real options means to limit losses and offers a vital contribution to long-term corporate success, especially in those marketplaces characterized by uncertainty and rapid change. This method also explains the value of waiting for the initial project and considers its value in comparison to the opportunity costs of waiting. These costs are dictated by the behavior of competitors and loss of cash-flow streams from the project. Incorporating this method could possibly lead to a better understanding of the importance of resource allocation, the value of strategic investments and [...]

Stock-market Reaction to Capital Investment Decisions

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Publisher :
ISBN 13 :
Total Pages : 31 pages
Book Rating : 4.:/5 (299 download)

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Book Synopsis Stock-market Reaction to Capital Investment Decisions by : Su Han Chan

Download or read book Stock-market Reaction to Capital Investment Decisions written by Su Han Chan and published by . This book was released on 1992 with total page 31 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Corporate Finance and Investment

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Publisher : Pearson Education
ISBN 13 : 9780273695615
Total Pages : 790 pages
Book Rating : 4.6/5 (956 download)

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Book Synopsis Corporate Finance and Investment by : Richard Pike

Download or read book Corporate Finance and Investment written by Richard Pike and published by Pearson Education. This book was released on 2006 with total page 790 pages. Available in PDF, EPUB and Kindle. Book excerpt: This text has a practical orientation with a wealth of examples and case studies. Recommended by the CIMA and ACCA, it includes new material on derivatives, treasury management and restructuring.

Corporate Decision-Making with Macroeconomic Uncertainty

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Publisher : Oxford University Press
ISBN 13 : 0190450576
Total Pages : 256 pages
Book Rating : 4.1/5 (94 download)

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Book Synopsis Corporate Decision-Making with Macroeconomic Uncertainty by : Lars Oxelheim

Download or read book Corporate Decision-Making with Macroeconomic Uncertainty written by Lars Oxelheim and published by Oxford University Press. This book was released on 2008-09-26 with total page 256 pages. Available in PDF, EPUB and Kindle. Book excerpt: Macroeconomic turbulence and volatility in financial markets can fatally affect firm's performance. Very few firms make serious attempts to inform market participants and other outsider stakeholders about the impact of macroeconomic fluctuations--manifested as changes in exchange rates, interest rates, inflation rates and stock market returns-- on performance. These stakeholders, as well as financial analysts, must make their own assessments but they generally lack both the required tools and the information to do so. Worse, top management in most firms do not themselves possess the tools to identify whether a change in performance represents a change in the firm's intrinsic competitiveness or a reflection of macroeconomic conditions outside their influence. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management develops and presents in an easily comprehensible way the essential elements of a corporate strategy for managing uncertainty in the macroeconomic environment. This Macroeconomic Uncertainty Strategy, or MUST, enhances firm value by allowing management and external stakeholders to become better informed about the development of corporate competitiveness in a turbulent macroeconomic environment. The MUST also provides guidelines for how to develop a successful risk management program. This research based book includes methods to identify the impact of macroeconomic fluctuations on cash flows and value, to develop strategies for macroeconomic risk management, to provide informative reports to external stakeholders, to evaluate the relative performance of subsidiaries and business units in multinational companies, and to evaluate performance for purposes of setting executive compensation and of fulfilling the due diligence requirements in an M & A context. The authors' use of value-based management, various performance measurements, the concept of real options, and risk management from the perspective of shareholder wealth maximization, makes the book rich and compelling. They address researchers and students in the field of international business, finance and corporate governance. On the business side, executives with strategic responsibilities, chief financial officers, and bankers who analyze corporate performance and give advice on risk management will benefit from reading this book.

Tensile Trading

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Publisher : John Wiley & Sons
ISBN 13 : 1119224330
Total Pages : 212 pages
Book Rating : 4.1/5 (192 download)

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Book Synopsis Tensile Trading by : Gatis N. Roze

Download or read book Tensile Trading written by Gatis N. Roze and published by John Wiley & Sons. This book was released on 2016-04-25 with total page 212 pages. Available in PDF, EPUB and Kindle. Book excerpt: A detailed 10-stage roadmap for investors to achieve stock market mastery with their own consistently profitable, high-probability investment system Tensile Trading provides a complete, step-by-step roadmap for investors of all levels, and coaches them on how best to organize the routines and strategies necessary to identify the market's strongest trading opportunities. History is proof that true mastery of the market begins with basic money management protocols, asset protection policies, and organized analysis techniques. With these crucial foundations in place, you can embrace a proven investment methodology, execute an effective trading plan, and develop a reliable system for profitable investing. Consistent, long-run investing success is a result of well-defined goals, carefully-constructed routines and an accurate understanding of the psychological challenges that all investors face. Set yourself up for success by implementing prudent money management and asset protection strategies Build a personalized Asset Allocation Profile—your own personalized investment methodology Construct a properly diversified portfolio using tools and techniques tailored for the modern market Learn to take control of your "Investor Self," limiting the impact of mental hurdles and emotional baggage Supercharge your financial analysis by employing proven routines and strategies A clear and proven approach easily tailored to fit your specific investing style, Tensile Trading distills the vastness of the financial markets into ten essential stages. It is designed to provide a comprehensive structure to your financial management efforts—helping you make smarter investment decisions, trade more efficiently, and consistently earn greater returns.

Current Challenges for Corporate Finance

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Publisher : Springer Science & Business Media
ISBN 13 : 3642041132
Total Pages : 129 pages
Book Rating : 4.6/5 (42 download)

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Book Synopsis Current Challenges for Corporate Finance by : Guido Eilenberger

Download or read book Current Challenges for Corporate Finance written by Guido Eilenberger and published by Springer Science & Business Media. This book was released on 2009-09-21 with total page 129 pages. Available in PDF, EPUB and Kindle. Book excerpt: Strategic corporate finance? This sounds like a paradox at first. After all, corporate finance means responding to the financial markets. Strategy, on the other hand, aims to change and shape the environment in the long term. Lately, though, more and more managers and investors appear to be breaking the laws of the capital market. At the same time, corporations are discovering new ways to not just react to the capital markets, but to actively shape them. The authors show that these violations are not isolated occurrences, but part of a paradigm shift. If companies want to stay successful in changing markets, they have to take a strategic approach to corporate finance. The authors use practical examples to demonstrate how this can be achieved. This book is intended not only for corporate finance experts, but also for students interested in the latest developments on the financial markets.

Strategic Management

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Publisher : Routledge
ISBN 13 : 1317534999
Total Pages : 653 pages
Book Rating : 4.3/5 (175 download)

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Book Synopsis Strategic Management by : Peter FitzRoy

Download or read book Strategic Management written by Peter FitzRoy and published by Routledge. This book was released on 2016-12-19 with total page 653 pages. Available in PDF, EPUB and Kindle. Book excerpt: Strategy is often the capstone class in a business education - dealing with the big questions of what companies decide to do - innovate, diversify, acquire or even to employ a range of these strategies. Benefitting from an international author team, the latest edition of this textbook stands out in its global perspective. With an emphasis on value creation, integration of financial considerations alongside coverage of areas that are often missed in competitor texts, such as financial implications for strategy, corporate governance and business ethics. The book also integrates a wide range of in-depth case studies, including Siemens AG, Intel, the Volkswagen Group, PerkinElmer and the Tata Group. Supplemented by a wide range of cutting edge online case studies and other internet resources, this text will provide students and their instructors with everything they need to succeed in this tough environment.

Financial Markets & Corporate Strategy

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Publisher : McGraw-Hill/Irwin
ISBN 13 :
Total Pages : 940 pages
Book Rating : 4.4/5 (91 download)

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Book Synopsis Financial Markets & Corporate Strategy by : Mark Grinblatt

Download or read book Financial Markets & Corporate Strategy written by Mark Grinblatt and published by McGraw-Hill/Irwin. This book was released on 2002 with total page 940 pages. Available in PDF, EPUB and Kindle. Book excerpt: The authors began writing the First Edition of this textbook in early 1988. It took almost 10 years to complete this effort, because they did not want to write an ordinary textbook. Their goal was to write a book that would break new ground in both the understanding and explanation of finance and its practice. They wanted to write a book that would influence the way people think about, teach, and practice finance. A book that would elevate the level of discussion and analysis in the classroom, in the corporate boardroom, and in the conference rooms of Wall Street firms. They wanted a book that would sit on the shelves of financial executives as a useful reference manual, long after the executives had studied and received a degree. They were successful in their endeavor. The success of the first edition of Financial Markets and Corporate Strategy was very heartening. The market for this text has expanded every year, and it is well-known as the cutting edge textbook in corporate finance around the world. The book is used in a variety of courses, both for introductory courses and advanced electives. Some schools have even changed their curriculum to design it around this text. The authors have developed this Second Edition based on the comments of many reviewers and colleagues; producing what is a more reader-friendly book. The most consistent comment from users of the first edition was a request for a chapter on the key ingredients of valuation: accounting, cash flows, and basic discounting. This ultimately led to a new chapter in the text, Chapter 9, which is currently available in the "Sample Chapter" section of the book's website. In almost every chapter, examples are updated, vignettes changed, numbers modified, statements checked for currency and historical accuracy, and exercises and examples are either modified or added to. The goal of the Second Edition is to make the book ever more practical, pedagogically effective, and current.

Common Stocks and Common Sense

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Publisher : John Wiley & Sons
ISBN 13 : 1119259606
Total Pages : 227 pages
Book Rating : 4.1/5 (192 download)

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Book Synopsis Common Stocks and Common Sense by : Edgar Wachenheim, III

Download or read book Common Stocks and Common Sense written by Edgar Wachenheim, III and published by John Wiley & Sons. This book was released on 2016-04-25 with total page 227 pages. Available in PDF, EPUB and Kindle. Book excerpt: Deep insight and candid discussion from one of Wall Street's best investors Common Stocks and Common Sense provides detailed insight into common stock investing, using a case-study approach based on real-world investments. Author Edgar Wachenheim is the 28-year CEO of Greenhaven Associates, boasting an average annual portfolio comparable to Warren Buffet's. In this book, he shares his knowledge and experiences by providing detailed analyses of actual investments made by himself and other investors. The discussion covers the entire investment process, including the softer, human side, with candid insight into the joys and frustrations, intensities and pressures, and risks and uncertainties. The unique emphasis on behavioral economics and real-world cases set this book apart from the herd—but it's Wachenheim himself and his deeply-examined perspective that elevates the book beyond a mere investing guide. Between 1990 and 2014, a typical portfolio managed by Wachenheim enjoyed an average annual return in excess of 18%, achieved using relatively conservative stocks and no financial leverage. As a proponent of evidence and example, his analysis of real cases serve as a valuable education for anyone looking to improve their own investment practices. Understand investment through the lens of a Wall Street leader Dig into the details of real-world common stock investing Learn how to invest creatively and minimize risk Go beyond theory to study strategy on a case-by-case basis Investment principles and strategies are easy to find—entire libraries have been written about theories and methods and what 'should' happen. But this book goes beyond the typical guide to show you how these ideas are applied in the real world—and what actually happened. Investors seeking real insight, real expertise, and a proven track record will find Common Stocks and Common Sense a uniquely useful resource.

The Little Book of Stock Market Profits

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Publisher : John Wiley & Sons
ISBN 13 : 1118192419
Total Pages : 224 pages
Book Rating : 4.1/5 (181 download)

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Book Synopsis The Little Book of Stock Market Profits by : Mitch Zacks

Download or read book The Little Book of Stock Market Profits written by Mitch Zacks and published by John Wiley & Sons. This book was released on 2011-10-19 with total page 224 pages. Available in PDF, EPUB and Kindle. Book excerpt: A timely guide to making the best investment strategies even better A wide variety of strategies have been identified over the years, which purportedly outperform the stock market. Some of these include buying undervalued stocks while others rely on technical analysis techniques. It's fair to say no one method is fool proof and most go through both up and down periods. The challenge for an investor is picking the right method at the right time. The Little Book of Stock Market Profits shows you how to achieve this elusive goal and make the most of your time in today's markets. Written by Mitch Zacks, Senior Portfolio Manager of Zacks Investment Management, this latest title in the Little Book series reveals stock market strategies that really work and then shows you how they can be made even better. It skillfully highlights earnings-based investing strategies, the hallmark of the Zacks process, but it also identifies strategies based on valuations, seasonal patterns and price momentum. Specifically, the book: Identifies stock market investment strategies that work, those that don't, and what it takes for an individual investor to truly succeed in today's dynamic market Discusses how the performance of each strategy examined can be improved by combining into them into a multifactor approach Gives investors a clear path to integrating the best investment strategies of all time into their own personal portfolio Investing can be difficult, but with the right strategies you can improve your overall performance. The Little book of Stock Market Profits will show you how.