Facing skepticism that it overpaid for a magazine publisher, will a young private equity firm find a profitable exit strategy?
Should Yahoo have accepted Microsoft’s 2008 acquisition offer?
Can expert investment advisors select stocks that will outperform the returns attained through a random selection of stocks?
What techniques may be used to increase a portfolio’s returns while reducing inherent risk?
Can Korean-owned Hynix Semiconductor stay afloat without accepting US-based Micron Technology’s offer to acquire the company?
Would CEO James Gorman succeed in helping Morgan Stanley maintain its position as a preeminent financial institution during challenging times?
Was the California Public Employees’ Retirement System (CalPERS) beyond saving in its present form?
Is an LBO deal for a highly levered diversified gaming company worth the risk?
In 2008, in the midst of a financial crisis and a credit freeze, how can a CFO of a private-label credit division convince others to pursue a bold acquisition plan?