Rotterdam school of Management, Erasmus University compact logo
Photo
Marc Goedhart
Endowed Professor of Corporate Valuation
Rotterdam School of Management (RSM)
Erasmus University Rotterdam

More information

Profile

Marc Goedhart is (part time) full professor in Corporate Valuation and a senior expert in corporate finance at McKinsey & Company. He has more than 20 years of experience in advising executives on corporate strategy and valuation, mergers & acquisitions and capital structure - across industries such as energy, utilities, pharma & healthcare and consumer goods in Europe and Asia. He is author of “Valuation: Measuring and Managing the Valuation of Companies” by T. Koller, M. Goedhart and D. Wessels, which is now in its 6th edition. He is a member of the editorial board of the quarterly journal McKinsey on Finance and has published in the McKinsey Quarterly and academic journals. Marc has also been a regular contributor to academic courses in corporate finance and valuation at various academic institutions in Europe.

Publications

Academic (3)
  • Janssen, A., Hoogendoorn, M., the OPTI-CLOT study group and SYMPHONY consortium, Cnossen, M. H., & Mathôt, R. A. A. (2022). Application of SHAP values for inferring the optimal functional form of covariates in pharmacokinetic modeling. CPT: Pharmacometrics and Systems Pharmacology, 11(8), 1100-1110. https://doi.org/10.1002/psp4.12828

  • Goedhart, M., & Spronk, J. (1995). Financial planning with fractional goals. European Journal of Operational Research, 82, 111-124.

  • Goedhart, M., & Spronk, J. (1995). An interactive heuristic for financial planning in decentralized organisations. European Journal of Operational Research, 86, 162-175.

Professional (1)
  • Koller, T., Goedhart, M., & Wessels, D. (2020). Valuation: Measuring and Managing the Value of Companies, 7th edition. John Wiley & Sons Inc. http://hdl.handle.net/1765/125836

Academic (1)
  • Donders, MWM., Goedhart, M., & Vorst, ACF. (1995). Financiering en Belegging. Vakgroep Financiering en Belegging.

Academic (3)
  • Hallerbach, WGPM., & Goedhart, M. (1997). Financieel risicomanagement. In L. Ankum (Ed.), Risico & Rendement (pp. 1-26). Compendium Kluwer Bedrijfswetenschappen.

  • Hallerbach, WGPM., & Goedhart, M. (1996). Roll-over hedging strategies with forward and futures contracts. In J. R. Sweeney (Ed.), Proceedings of the ninth annual European futures research symposium (pp. 1-22). CBOT.

  • Goedhart, M., & Spronk, J. (1994). Experiments with interactive multi-level models. In G. H. Tzeng, H. F. Wang, U. P. Wen, & P. L. Yu (Eds.), Multiple criteria decision making: Expand and Enrich the domains of thinking and application (pp. 155-173). Springer-Verlag.

Internal (1)
  • Goedhart, M. (1994). Financial planning in divisionalised firms: models and methods. [Doctoral Thesis, Erasmus University Rotterdam]. Erasmus Universiteit Rotterdam (EUR).

Activities

  • RSM B.V.
    Start date approval: 12 Oct 2022
    End date approval: 11 Oct 2025
    Place: NEDERLAND
    Description: N/A
  • McKinsey & Company
    Start date approval: 12 Oct 2022
    End date approval: 11 Oct 2025
    Place: AMSTERDAM
    Description: Consulting