Financial Markets & Corporate Strategy is a groundbreaking textbook that redefines how finance is understood and practiced. Mark Grinblatt and Sheridan Titman set out to create a work that bridges the gap between academic theory and the practical challenges faced by professionals. Their ambition was to craft a reference that not only informs but also elevates the discussions held in classrooms, boardrooms, and beyond. Through years of thorough research and thoughtful revision, the authors have enriched this 940-page work with updated examples, refined vignettes, and meticulous attention to historical and numerical accuracy. The text features a fresh focus on foundational aspects such as accounting, cash flows, and essential valuation techniques. It is designed to serve a diverse audience - ranging from introductory course students to those engaged in advanced studies - ensuring that the material remains highly relevant and practical. Published in 2002 by McGraw-Hill/Irwin, this edition continues to inspire and challenge readers by offering a dynamic and comprehensive exploration of corporate strategy within financial markets. It stands as a testament to the authors’ dedication to making finance both accessible and profoundly engaging.
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