Explores the impact of debt and taxes on firm value and shareholder wealth, covering Modigliani/Miller theorem, leverage effects, debt financing mechanics, and valuation methods.
Covers investment decisions, focusing on annuities, discounting costs, and evaluating profitability through net present value and internal rates of return.
Explores ESG regulation in finance, contrasting the EU and US approaches, discussing engagement strategies, large shareholders' impact, and the performance of ESG investing.
Explores the practical applications and implications of the Capital Asset Pricing Model in finance, including estimating betas and calculating expected returns.