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Session 17: The Debt/Equity Trade off
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Corporate Finance Spring 2024 - Session 17: The Debt/Equity Trade off

Master Corporate Finance: From Risk & Valuation to Capital Structure & Real-World Strategy

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13 learners

What you'll learn

Analyze corporate decisions using the principles of shareholder wealth maximization and its alternatives.
Estimate the cost of capital for a firm using risk models, betas, and debt costs.
Evaluate investment projects and acquisitions using cash flow analysis and capital budgeting techniques.
Determine the optimal mix of debt and equity financing and design appropriate dividend policies.

This course includes

  • 34.5 hours of video
  • Certificate of completion
  • Access on mobile and TV

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In this class, we started our discussion of the financing question by drawing the line between debt and equity: fixed versus residual claims, no control versus control, and then used a life cycle view of a company to talk about how much it should borrow. We then started on the discussion of debt versus equity by looking at the pluses of debt (tax benefits, added discipline) and its minuses (expected bankruptcy costs, agency cost and loss of financial flexibility). Even with the general discussion, we were able to look at why firms in some countries borrow more than others, why having more stable earnings can make a difference in how much you can borrow and why having intangible assets can affect your borrowing capacity. Slides: https://pages.stern.nyu.edu/~adamodar/podcasts/cfspr24/session17slides.pdf Post class test: https://pages.stern.nyu.edu/~adamodar/pdfiles/cfovhds/session17test.pdf Post class test solution: https://pages.stern.nyu.edu/~adamodar/pdfiles/cfovhds/session17soln.pdf

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