Programme Content
Learn to structure debt in terms of maturity fixed/floating mix and currency mix.
Focus on the application of derivatives in a corporate finance setting – real options risk management and optimal gearing.
Discover how to return excess funds to shareholders considering payout policy and merger motives.
Investigate corporate restructuring and find ways of resolving financial distress through IPOs and long-term financial planning.
Explore real case studies surveys and academic evidence from leading global companies. Bring each topic to life by examining the practical applications of each technique.
Discuss theory and debate industry changes with Professor Christopher Hennessy consolidating your understanding of funding risk and restructuring.
Discuss debate and explore the key business issues with a diverse group of peers.
