Marcus Ager zeigt aus kapitalmarkorientierter Sicht, inwieweit der Richtlinienvorschlag der Europäischen Kommission über eine gemeinsame konsolidierte Körperschaftsteuer-Bemessungsgrundlage (CCCTB) mit der Möglichkeit zum unionsweiten grenzüberschreitenden Ausgleich steuerlicher Gewinne und Verluste in Unternehmensgruppen einen Rückgang der Steuerbelastung europäischer Konzerne bedeutet und dass die Umsetzung des Richtlinienvorschlags zur CCCTB zu einer Reduktion wohlfahrtsmindernder steuerlich bedingter Verzerrungen von Investitionsentscheidungen führen würde.
Das Lehrbuch bildet das Modul Unternehmensfinanzierung und -förderung ab und bietet fundiertes und nachhaltiges Wissen zu beiden Bereichen und ihren Zusammenhängen.
Stay liquid, think global, and better manage resources with this authoritative guide Working Capital Management is a comprehensive primer on keeping your business financially competitive in the face of limited access to short-term funds.
This collection of conference papers presents a contemporary insight into key trends impacting on the global financial sector post crisis and highlights new policy and research areas affecting banks and other financial institutions.
Within an environment made difficult by the continuing economic crisis, the Italian model for crisis management and resolution has helped to avoid many difficulties faced by intermediaries across the globe.
This book goes beyond traditional financial institutions textbooks, which tend to focus on mathematical models for risk management and the technical aspects of measuring and managing risk.
Now in its ninth edition, Financial Management for Decision Makers provides students with a unique focus on the practical application of financial management and its role in decision making.
The author presents the theory of portfolio choice from a new perspective, recommending decision rules that have advantages over those currently used in theory and practice.
The modern business climate demands a new risk management strategy Mastering Strategic Risk: A Framework for Leading and Transforming Organizations is a comprehensive guide to redesigning organizational systems to better manage the risks and complexities of the modern world.
Dieser Buchtitel ist Teil des Digitalisierungsprojekts Springer Book Archives mit Publikationen, die seit den Anfängen des Verlags von 1842 erschienen sind.
This book focuses on the regulatory aspect of retail investor protection in the context of Initial Public Offerings (IPOs) in the Indian securities market.
Wer in einem Unternehmen oder Gewerbebetrieb Führungsverantwortung trägt, muss sich im täglichen Geschäft immer wieder mit rechtlichen Fragestellungen von unter schiedlicher Natur beschäftigen.
In this book, experts discuss how German real estate values have remained stable throughout the financial crisis, even though transaction volumes have been very volatile since 2005.
This book examines the success story of Seng Heng Bank (SHB), the successful acquisition of SHB by Industrial and Commercial Bank of China (ICBC), and the continuing sound management and performance of ICBC (Macau).
This book deals with climate finance and presents a balance between the theoretical framework—as drawn by the most widely cited practitioner-oriented and academic journals in environmental management—and experimental finance.