Project Finance in Theory and Practice: Designing, Structuring, and Financing Private and Public Projects, Fourth Edition provides essential, core coverage of project finance, offering new insights into Sharia-compliant instruments and a comprehensive overview of the current state of international regulation of banking post financial crisis. This updated edition includes new case studies and topics related to country risk, along with insights from project finance experts who share their specialized knowledge on legal issues and the role of advisors in project finance details. The book will be useful for readers at all levels of education and experience who want to learn how to succeed in project finance.
Les mer
1. An Introduction to the Theory and Practice of Project Finance 2. The Market for Project Finance: Applications and the Sectors 3. Project Characteristics, Risk Analysis, and Risk Allocation 4. The Role of Advisors in a Project Finance Deal 5. Valuing the Project and Project Cash Flow Analysis 6. Financing the Deal 7. Legal Aspects of Project Finance 8. Credit Risk in Project Finance Transactions Case Studies 1. Cogeneration 1 2. Italy Water System 3. Odebrecht Norbe Drilling VIII/IX 4. Watercraft Capital 5. Viveracqua Hydrobond 6. Quezon Power Ltd. Co. Appendix: The Structure and Functioning of the Simulation Model Introduction
Les mer
Delivers comprehensive coverage of project finance relating to Sharia-compliant instruments
Features useful, illustrative case studies Addresses human rights and sustainability issues, in particular the Equator Principles for determining, assessing and managing environmental and social risk in projects Explores treatment of guarantee mechanisms that governments are increasingly providing to private developers to attract private capital
Les mer

Produktdetaljer

ISBN
9780323983600
Publisert
2023-07-19
Utgave
4. utgave
Utgiver
Vendor
Academic Press Inc
Vekt
1130 gr
Høyde
229 mm
Bredde
152 mm
Aldersnivå
U, 05
Språk
Product language
Engelsk
Format
Product format
Heftet
Antall sider
600

Forfatter

Om bidragsyterne

Stefano Gatti is the Antin Infrastructure Partners Chair Professor of Infrastructure Finance and Professor of Practice in Finance. He is the Director of the Full Time MBA and former Director of the International Teachers’ Programme at SDA Bocconi School of Management. His main area of research is corporate finance and investment banking. He has published in these areas including publications in the Journal of Money, credit and banking, Financial Management, the Journal of Applied Corporate Finance and the European Journal of Operational Research. Professor Gatti has published a variety of texts on banking and finance areas and has acted as a consultant to several financial and non-financial institutions and for the Italian Ministry of the Economy, the Financial Stability Board, The InterAmerican Development Bank, the Asian Development Bank and the OECD/Group of G20. He is financial advisor of the Pension Fund of Health care professions, member of the compliance risk committee of Deutsche Bank and member of the Board of Directors and board of auditors of Italian industrial and financial corporations.