Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
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This book deals with foundation law in various European countries. It sums up contributions from the most outstanding experts in foundation law in fourteen countries. Meer
One of the key issues relating to the perfonnance of national economies is the efficiency of the financial system which stands at the heart of the capital-allocation process. Meer
This book addresses the integration of the Internet and finance which recently has been one of the most notable topics of discussion in the media, the business community, academia, and among policymakers, both in China and worldwide. Meer
This book explores research that contributes to the current literature on the Oil and Gas Sector by analysing the multiple discourses that experts use to examine social investment. Meer
This book explores research that contributes to the current literature on the Oil and Gas Sector by analysing the multiple discourses that experts use to examine social investment. Meer
This book focuses on the analysis of financial data and innovative results of Chinese Zhongguancun (Z-park) NEEQ Listed Firms in 2020 and objectively evaluates the growth ability of them. Meer
This book focuses on the analysis of financial data and innovative results of Chinese Zhongguancun (Z-park) NEEQ Listed Firms in 2020 and objectively evaluates the growth ability of them. Meer
Financial Markets in Hong Kong is a unique guide to the workings and the legal framework governing all aspects of Hong Kong's financial markets. Drawing upon the extensive experience of its contributors to present a lucid insight into the intricacies of the matrix behind the functioning of financial markets, it is possibly the only book to cover the spectrum ranging from a discussion on the regulatory framework to the various measures implemented to facilitate the further development of the markets to the important role assumed by professional advisers. Meer
This Palgrave Pivot innovatively combines new methods and approaches to building dynamic trading systems to forecast future price direction in today’s increasingly difficult and volatile financial markets. Meer
A collection of papers that probes into the major issues that are at the heart of financial market crises. It covers banking topics including the changing nature of intra and inter-bank markets, banking with respect to bank lending behavior, risk and risk-taking, the role of liquidity, and return and maturity transformation issues. Meer
Introduces corporate financial management, based on the basic capital budgeting framework and the time value of money. This book focuses on theoretical formulations and correct application of financial techniques that can help improve managerial and financial decisions. Meer
Combines academic research and practical expertise on alternative assets and trading strategies in a different way. This book discusses asset classes including: credit risk, cross-asset derivatives, energy, private equity, freight agreements, real alternative assets (RAA), and socially responsible investments (SRI). Meer
Begins with an introduction to accounting and financial reporting, followed by a description of the development of international standards and the present structure, role and operations of the International Accounting Standards Board. Meer
This book provides an assessment of public financial management (PFM) reforms in developing countries using Turkey as a case study. The book elaborates on revenue management, expenditure management, public budget, public financial management information systems, asset and liability management, intergovernmental fiscal relations, accounting, financial reporting, and auditing. Meer
Surveys modern literature on financial aggregation and index number theory, with special emphasis on the contributions of the book's two coauthors. This work for financial data researchers and users of central bank data, places emphasis on possible improvements in such data from use of the microeconomic index number and aggregation theory. Meer
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