Authority · 460 articles in the corpus
Aswath Damodaran
Articles
Showing 1–25 of 460
Last 30 days
· 1
Last 90 days
· 4
- Musings on Markets: To a Trillion(s) Dollars and beyond: A SpaceX IPO Odyssey!
- Market Dynamics in March 2026: Oil Price Shocks, Inflation Expectations, and Risk Reassessment
- Developing a Personalized Investment Philosophy: Why One Size Doesn't Fit All
- Estimating Equity Risk Premiums: From Historical Data to Forward-Looking Models
2026
· 9
- AI Disruption Scenarios: Evaluating Economic Outcomes from Doomsday to Benign
- Corporate Cash Return Policy: Dividends vs. Buybacks in 2025
- Debt versus Equity Financing: Trade-offs and Corporate Capital Structure Analysis
- Business Profitability and the Critique of ESG and Stakeholder Capitalism
- Risk Measurement and Hurdle Rates Across Companies in 2025
- Musings on Markets: Data Update 4 for 2026 — The Global Perspective
- Musings on Markets: Data Update 3 for 2026: The Trust Deficit - Bonds, Currencies, Gold and Bitcoin
- Musings on Markets: Data Update 2 for 2026: Equities get tested, and pass again!
- Musings on Markets: Data Update 1 for 2026: The Push and Pull of Data
2025
· 11
- Trillion Dollar Market Caps: Fairy Tale Pricing or Business Marvels?
- Gold as a Collectible Investment: Understanding 2025's Price Surge Beyond Valuation
- Market Valuation Assessment: Fed Chair Powell's 'Fairly Highly Valued' Market Commentary and Implications for Investors
- AI-Generated Deepfakes and Identity Fraud: A Framework for Detection and Defense
- Country Risk Assessment 2025: Dimensions, Measures and Implications
- Corporate Cash Management Strategy: Evaluating Bitcoin Holdings as a Treasury Asset
- The Uncertain Payoff from Alternative Investments: Evaluating Risk-Return Benefits Beyond Traditional Stocks and Bonds
- Sovereign Ratings, Default Risk and Markets: The Moody's Downgrade Aftermath
- April 2025 Equity Markets: Volatility, Tariffs, and the Return of Growth and Momentum
- Contrarian Investing Strategies: Evidence, Psychology, and Pitfalls
- Market Crisis Analysis: Tariff Impacts on Global Equity Markets and Asset Classes