1 Asset Return 2 Random Variables (self-learning) 3 Random Returns (self-learning) 4 Portfolio Mean and Variance 5 The Feasible Set 6 The Markowitz Model 7 The Two-Fund Theorem 8 Inclusion of a Risk-Free Asset 9 The One-Fund Theorem
1. Cross-Border Investments – Statistics – Patterns 2. M & A Typology, Negotiation, Company Law Aspects 3. M & A and Ancillary Contracts – Joint Ventures 4. Acquisition Finance 5. EU Takeover and Competition Laws 6. Investment Controls - Summary
– Ch.8 Capital Budgeting and Cash Flow Analysis – Ch.9 Decision Criteria and Option Considerations – Ch.10 Capital Budgeting and Risk – Ch.11 The cost of Capital