Financieel management

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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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Financieel management

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gebondenEngels9783642043482 15-11-2011
The role of the Chief Financial Officer (CFO) has substantially changed in a world characterized by globalized financial markets and truly global products.  Meer
84,99
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paperbackEngels9783642087080 7-12-2010
This book combines a rigorous overview of the mathematics of financial markets with an insight into the practical application of these models to the risk and portfolio management of interest-rate derivatives.  Meer
120,99
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paperbackEngels9783642088674 15-10-2010
Recent years have witnessed a growing importance of quantitative methods in both financial research and industry. This development requires the use of advanced techniques on a theoretical and applied level, especially when it comes to the quantification of risk and the valuation of modern financial products.  Meer
126,99
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paperbackEngels9783642089619 15-10-2010
The book is dedicated to the question of how much room for national tax policy Member States of the European Union will be able to maintain in the future.  Meer
120,99
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paperbackEngels9783642090561 15-10-2010
This fascinating book covers all the recent developments in conjoint analysis. Leading scientists present different aspects of the theory and applications of this technique.  Meer
108,99
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paperbackEngels9783642090578 15-10-2010
This book analyzes the economic principles of modern corporate taxation. It is novel in two respects. First of all, it analyzes not only the effects of taxation on firms' marginal choices, but also focuses on the impact of taxation on discrete choices, such as plant location, R and D investment, and new marketing programs.  Meer
120,99
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paperbackEngels9783642096556 19-10-2010
Credit risk analysis is one of the most important topics in the field of financial risk management. Due to recent financial crises and regulatory concern of Basel II, credit risk analysis has been the major focus of financial and banking industry.  Meer
120,99
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paperbackEngels9783642055409 30-11-2010
The developments of economic theory in the 1950s served to pinpoint important underlying assumptions in the study of market institutions. The conflict between observed institutions and the benchmark interpretation became apparent.  Meer
60,99
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paperbackEngels9783642097409 19-10-2010
Risk management has become a critical part of doing business in the twenty-first century. This book is a collection of material about enterprise risk management, and the role of risk in decision making.  Meer
174,99
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paperbackEngels9783642057267 7-12-2010
Mathias Külpmann presents a framework to evaluate whether the stock market is in line with underlying fundamentals. The new and revised edition offers an up to date introduction to the controversy between rational asset pricing and behavioural finance.  Meer
120,99
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paperbackEngels9783642100239 19-10-2010
Sound investment decisions require an in-depth knowledge of the financial markets and available financial instruments. This book provides students and professionals with an understanding of the role and activities of an equity security analyst within the investment process.  Meer
120,99
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paperbackEngels9783642100253 2-1-2013
Modern buildings are increasingly equipped with actuators and sensors, communication, visualization and control systems. This textbook provides an overview of industrial communication systems and stimulates a basic understanding of network and bus systems for the automation of buildings.  Meer
120,99
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paperbackEngels9783642058462 7-12-2010
Modern option pricing theory was developed in the late sixties and early seventies by F. Black, R. e. Merton and M. Scholes as an analytical tool for pricing and hedging option contracts and over-the-counter warrants.  Meer
180,99
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paperbackEngels9783642058547 6-12-2010
CreditRisk+ is a widely implemented default-mode model of portfolio credit risk, based on a methodology borrowed from actuarial mathematics. This book gives an account of the status quo as well as of new and recent developments of the credit risk model CreditRisk+, which is widely used in the banking industry.  Meer
120,99
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paperbackEngels9783642058790 6-12-2010
Covers applications to risky assets traded on the markets for funds, fixed-income products and electricity derivatives. Integrates the latest research and includes a new chapter on financial modeling.  Meer
180,99
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paperbackEngels9783642107900 29-3-2010
Non-life insurance pricing is the art of setting the price of an insurance policy, taking into consideration varoius properties of the insured object and the policy holder.  Meer
66,99
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paperbackEngels9783642060304 12-2-2010
Proof of the "Fundamental Theorem of Asset Pricing" in its general form by Delbaen and Schachermayer was a milestone in the history of modern mathematical finance and now forms the cornerstone of this book.  Meer
144,99
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paperbackDuits9783642118234 15-3-2010
Die Kostenrechnung ist ein bedeutendes Instrument der Unternehmensführung. Der Autor behandelt die Grundlagen der Kostenrechnung, ihre unterschiedlichen Bereiche sowie die anzuwendenden Verfahren.  Meer
40,24
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paperbackDuits9783642119194 5-5-2010
Die Kosten- und Erlösrechnung ist eine wesentliche Grundlage für die Planung und Kontrolle der Geschäftstätigkeit. Die Erfassung und das Management von Kosten und Erlösen gehören somit zum Kernbereich betriebswirtschaftlichen Wissens.  Meer
38,-
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gebondenEngels9783642120572 17-8-2010
In financial and actuarial modeling and other areas of application, stochastic differential equations with jumps have been employed to describe the dynamics of various state variables.  Meer
156,99
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