TY - BOOK AU - MacMinn,Richard D. TI - The Fisher model and financial markets SN - 9812564071 AV - HG4012 .M33 2005 U1 - 332.015118 22 PY - 2005///] CY - Singapore, Hackensack, NJ, London PB - World Scientific Pub KW - Finance KW - Mathematical models N1 - Includes bibliographical references (pages 103-106) and index; Ch. 1; The Fisher model with certainty --; Ch. 2; The Fisher model --; Ch. 3; Financial values --; Ch. 4; Fisher separation --; Ch. 5; More values --; Ch. 6; Corporate finance theorems --; Ch. 7; Agency problems --; Ch. 8; Information problems : hidden knowledge --; Ch. 9; Corporate risk management --; Ch. 10; Concluding remarks N2 - "This book articulates corporate finance from a common perspective and model: by generalizing the Fisher model to include risks, it is possible to exposit and prove the classic corporate finance theorems and to establish a common foundation for the discipline. The classic theorems of corporate finance are collected, stated, and some are proved. The reader is challenged to prove corollaries and theorems to see how the model provides the fundamental building blocks for the discipline."--BOOK JACKET ER -