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Combining insights from academic research and practical examples, this book aims to better understand the link between financial markets and innovation management. First, we are back to the very definition of innovation and what it means for financial and non-financial companies. Then, we analyze if efficient innovation management by companies is recognized and valued by financial markets. Finally, we focus on innovation within the financial sector: does it really create value outside the financial sector itself. Are Financial innovations value … or risk creators?

Table of Contents

  1. Cover
  2. Title Page
  3. Copyright
  4. Foreword
  5. Introduction
  6. 1 From the Idea to the Stock Market
    1. 1.1. Prologue
    2. 1.2. A long and rigorous path
    3. 1.3. Categories to represent the progress made
    4. 1.4. Use of criteria satisfaction levels as a rating guide
  7. 2 How to Develop the Innovative Capacity of Companies
    1. 2.1. Introduction
    2. 2.2. Siphoning queries to produce an idea
    3. 2.3. Having the means (skills) required
    4. 2.4. Having an appropriate organization
  8. 3 Innovation and Its Challenges for the Company
    1. 3.1. Introduction
    2. 3.2. General innovation policy: a vital issue, survival
    3. 3.3. Innovation: major sectoral issues
  9. 4 Financial Evaluation of an Innovation Project
    1. 4.1. Introduction
    2. 4.2. Costing
    3. 4.3. Judgment (goodwill)
    4. 4.4. Negotiation
  10. 5 Funding Innovation
    1. 5.1. Issues related to funding growth
    2. 5.2. Means of funding growth
  11. 6 Valorization of Innovation by Financial Markets
    1. 6.1. How to determine the expected return from innovative companies
    2. 6.2. Outperformance of innovative companies
  12. 7 Innovation and Credit Risk
    1. 7.1. Credit risk
    2. 7.2. Credit risk and rating agencies
    3. 7.3. Relationship between credit risk and innovation
    4. 7.4. Innovative companies less risky in the long-term?
    5. 7.5. Conclusion
  13. 8 Financial Innovation: Creating Value… or Risk?
    1. 8.1. Basic concepts of portfolio management
    2. 8.2. Risk-creating financial innovation?
  14. Conclusion
  15. References
  16. Index
  17. End User License Agreement
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