What are some of the differences between the ways the equity and credit markets operate?
Answer to relevant QuestionsProvide examples of businesses where network effects would or would not apply. How much cash flow risk should a company take on? How should it manage risks with extreme outcomes that could potentially bankrupt the company but are very unlikely to occur? Given that TRS is not a clean measure of management performance and is therefore a flawed basis for management compensation, how should a company gauge management performance? What measures should it use? Why do companies operating within the pharmaceutical and biotechnology industries typically sustain higher ROICs than firms in the technology, hardware, and equipment industries? Discuss why the ranking of industries by growth varies more over time than their ranking by ROIC.
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