This book focuses on the international financial problems of developing countries and the ways in which international financial policy might be used to alleviate them.
Become a successful investor with the gold-standard bestseller If you want to learn more about the sharemarket but you re unsure where to begin, or if you are already a share investor but want to improve your profitability on the market, this is the book for you.
Highlighting an important emerging trend in FDI to Africa, this book consists of important contributions focusing on an increase in trade and investment between African countries.
Examine the high yield market for a clear understanding of this evolving asset class High Yield Debt is the one-stop resource for wealth advisors seeking an in-depth understanding of this misunderstood asset class.
Dieses Lehrbuch vermittelt eingängig die prüfungsrelevanten Grundlagen der Buchführung und des Jahresabschlusses unter besonderer Berücksichtigung der deutschen Rechnungslegungsvorschriften.
With M&As in the RIA space increasing, many firms are rapidly changing hands with little to no expert guidance on how to successfully execute a merger or acquisition.
The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published.
This book, the first in a new series produced by the Pension Research Council of the Wharton School in collaboration with Oxford University Press, explores ways to enhance retirement security in a volatile financial environment.
Das Buch stellt das komplette Insolvenzrecht für Studenten der Wirtschaftswissenschaften dar und geht auf die wichtigsten klausurrelevanten Themenfelder ein.
Insider guidance to the modern world of investment banking todayIn Investment Banking Explained, Wharton professor and globalfinancier Michel Fleuriet provides a complete overview ofinvestment banking in its modern form; defines key terms; identifiesstructures, strategies, and operational aspects; and analyzesthe strategy in each of the main functional areas of aninvestment bank.
M&A-Aktivitäten umfassen ein breites Themenspektrum, zu dem Unternehmenskäufe und -verkäufe, Beteiligungen, Fusionen und Joint Ventures genauso gehören wie strategische Allianzen.
This book is based on lectures conducted for two classes at the Maxwell School, Syracuse University: A Public Finance Seminar for PhD students in public administration and State and Local Public Finance for master's students in public administration.
In Building Materials, Health and Indoor Air Quality: Volume 2 Tom Woolley uses new research to continue to advocate for limiting the use of hazardous materials in construction and raise awareness of the links between pollutants found in building materials, poor indoor air quality and health problems.
Interview Strategies for Always Getting the Information You NeedFor managers, interviewing is about gathering useful information in every face-to-face encounter, from project planning meetings to client discussions to speaking with prospective employees.
Das Controlling- und Führungsinstrument der Balanced Scorecard unterstützt die Erhebung von harten und weichen Kennzahlen und ermöglicht es dadurch, auch strategische Ziele fassbar zu machen.
A global banking risk management guide geared toward the practitioner Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.
Microfinance is regarded as a lynchpin in private sector solutions to a host of complex social challenges, from child labor, education, and women's rights, through to sustainable local economic development.
Dieses Buch widmet sich nicht nur den sogenannten Finanzderivaten, sondern auch den mit diesen einhergehenden Systemrisiken, die sich im Rahmen der Finanzkrise sehr deutlich manifestiert haben.
Creating Value in Financial Services is a compilation of state-of-the-art views of leading academics and practitioners on how financial service firms can succeed in today's competitive environment.
The edited volume on "e;The Role of Institutional Investors in a Globalized Environment"e; will publish original papers that examine various issues concerning the strategies of institutional investors, the role of institutional investors in corporate governance, their impact on local and international capital markets, as well as the emergence of sovereign and other asset management funds and their interactions with micro and macro economic and market environments including the impacts on international economic and market stability.
The money manager and New York Times–bestselling author explainshow to protect yourself from fraud: “Fisher details the red flags that should alert investors.
Der vorliegende Band Buchführung 1 bietet Ihnen in bewährter Didaktik einen schnellen und leicht verständlichen Zugang zu den Grundlagen der Buchführung.
Navigate equity investments and asset valuation with confidence Equity Asset Valuation, Third Edition blends theory and practice to paint an accurate, informative picture of the equity asset world.
Using theoretical frameworks to explore the political, organizational, and cultural dynamics of performance budgeting, this book examines the adoption of performance budgeting in a variety of countries, how it has been implemented, and why it succeeded or failed.
In light of the periodic malfunctions in important sectors of the finan- cial services industry in recent years, such as commercial banking, thrift institutions, and the securities market, numerous proposals have been developed for restructuring the financial system to improve both its safety and efficiency.