In this series, three key axiomsstockholder wealth maximization, the risk-return tradeoff, and agency conflictsare applied to the major topics in financial management. The current article looks at mergers and acquisitions, reviewing the presumed motivations, the ethical challenges, and the literature dedicated to this financial activity
This thesis studies the effects of using proceeds from asset sales as a source of funding for merger...
This dissertation consists of three essays in the area of corporate risk management and stock offer ...
This dissertation consists of three essays on mergers and acquisitions (M&As) and corporate investme...
The following article represents the first in a series dedicated to presenting students the opportun...
This series inspects the major topics in finance, reviewing the roles of stockholder wealth maximiza...
The second article in a series designed to supplement the introductory financial management course, ...
This series on the theory of financial management offers insight into the roles of stockholder wealt...
This article investigates operating and financial leverage from the perspective of the financial man...
This dissertation examines two important issues of mergers and acquisitions. The first chapter struc...
Although textbooks present corporate finance using a topical approach, good financial management req...
This thesis covers issues related to financing in mergers and acquisitions. It studies the relations...
This dissertation examines two important issues of mergers and acquisitions. The first chapter struc...
Continuing this series on the theory of financial management, the current article investigates capit...
We study the combined effects of managerial optimism and market overvaluation on merger premiums and...
Mergers and acquisitions have been the focus of finance literature in recent years. The significance...
This thesis studies the effects of using proceeds from asset sales as a source of funding for merger...
This dissertation consists of three essays in the area of corporate risk management and stock offer ...
This dissertation consists of three essays on mergers and acquisitions (M&As) and corporate investme...
The following article represents the first in a series dedicated to presenting students the opportun...
This series inspects the major topics in finance, reviewing the roles of stockholder wealth maximiza...
The second article in a series designed to supplement the introductory financial management course, ...
This series on the theory of financial management offers insight into the roles of stockholder wealt...
This article investigates operating and financial leverage from the perspective of the financial man...
This dissertation examines two important issues of mergers and acquisitions. The first chapter struc...
Although textbooks present corporate finance using a topical approach, good financial management req...
This thesis covers issues related to financing in mergers and acquisitions. It studies the relations...
This dissertation examines two important issues of mergers and acquisitions. The first chapter struc...
Continuing this series on the theory of financial management, the current article investigates capit...
We study the combined effects of managerial optimism and market overvaluation on merger premiums and...
Mergers and acquisitions have been the focus of finance literature in recent years. The significance...
This thesis studies the effects of using proceeds from asset sales as a source of funding for merger...
This dissertation consists of three essays in the area of corporate risk management and stock offer ...
This dissertation consists of three essays on mergers and acquisitions (M&As) and corporate investme...