John Martin
About the Author
John Martin is a distinguished scholar and educator in the field of finance, with over three decades of experience teaching and researching corporate finance and investment principles at leading business schools. He holds a PhD in Finance from the University of Chicago and has authored numerous influential texts that bridge theoretical concepts with practical applications for students and professionals alike. Martin's work emphasizes clear, actionable insights into financial decision-making, risk management, and capital structure, making complex topics accessible without sacrificing depth. Beyond academia, he serves as a consultant to Fortune 500 companies and contributes regularly to industry journals, shaping the way future leaders approach financial strategy in an ever-evolving global economy.
