£150.47

MACMILLAN Macmillan Strategy, Value and Risk - Real Options Approach Book

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Description

Navigate the complexities of modern corporate management with Strategy, Value and Risk - The Real Options Approach. As the business environment shifts toward creative destruction, maintaining a competitive advantage becomes increasingly difficult. This book explores how to reconcile innovation, strategy, and value management in a globalized market. Moving beyond the shareholder value models of the 1990s, this text introduces Real Options, an advanced financial analysis method. By applying financial option theory to real assets, readers gain a strategic framework designed to handle modern market volatility. This approach helps management recognize the importance of flexibility and provides tools to leverage risk within a corporate setting. Part of the Finance and Capital Markets Series, this publication is essential for professionals looking to integrate advanced financial theory with practical corporate strategy. It addresses the needs of decision-makers facing intense competition and rapid technological advances in the twenty-first century.

Key Features

Learn to apply Real Options, an advanced financial analysis, to real assets for better decision making.

Understand a strategic framework that recognizes the necessity of management flexibility in volatile markets.

Explore methods to leverage risk within a corporate environment to support long-term growth.

Bridge the gap between innovation, strategy, and value management for modern business needs.

Gain insights into managing competitive advantage amidst increasing creative destruction and globalization.

Product Specifications

Format
Hardcover
Domain
Amazon UK
Release Date
25 June 2002
Listed Since
05 February 2007

Barcode

No barcode data available

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