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Palgrave Macmillan

Strategy, Value and Risk - The Real Options Approach

Reconciling Innovation, Strategy and Value Management

  • Book
  • © 2002

Overview

Part of the book series: Finance and Capital Markets Series (FCMS)

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Table of contents (14 chapters)

  1. Introduction

  2. The Evolution of Strategy, Value and Risk

  3. Developments in Strategy, Value and Risk

  4. Quantifying Real Options

  5. Real Options Case Studies and Practical Implications

Keywords

About this book

In the 1990s shareholder value was applied to all aspects of corporate strategy and management decisions as a result of intense competition, globalization, advances in technology, deregulation and the financial markets. As we enter the twentyfirst century the business environment is one of increasing creative destruction, where competitive advantage is much harder to sustain. Real Options , a type of advanced financial analysis, applies financial option theory to real assets and offers a strategic framework that recognizes the need for management flexibility and to leverage risk in this corporate environment.

About the author

JAMIE ROGERS is a consultant with PricewaterhouseCoopers' New York Financial Risk Management Practice. He has extensive experience in a range of areas, including financial, energy and commodity markets, corporate finance, financial derivatives and quantitative techniques.

Bibliographic Information

  • Book Title: Strategy, Value and Risk - The Real Options Approach

  • Book Subtitle: Reconciling Innovation, Strategy and Value Management

  • Authors: Jamie Rogers

  • Series Title: Finance and Capital Markets Series

  • DOI: https://doi.org/10.1057/9780230513051

  • Publisher: Palgrave Macmillan London

  • eBook Packages: Palgrave Economics & Finance Collection, Economics and Finance (R0)

  • Copyright Information: Palgrave Macmillan, a division of Macmillan Publishers Limited 2002

  • Hardcover ISBN: 978-0-333-97346-2Published: 25 June 2002

  • Softcover ISBN: 978-1-349-42970-7Published: 01 January 2002

  • eBook ISBN: 978-0-230-51305-1Published: 25 June 2002

  • Series ISSN: 2946-2010

  • Series E-ISSN: 2946-2029

  • Edition Number: 1

  • Number of Pages: XIV, 141

  • Topics: Business Finance, Risk Management, Public Finance, Management

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