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.
Maak betere financiële beslissingen met boeken die complexe cijfers omzetten in heldere inzichten. Van begrotingen en jaarrekeningen tot strategisch financieel beleid: vergroot je financiële slagkracht en versterk de basis voor groei, winst en continuïteit.
Bekijk resultaten in...
Alle productenManagementboekenSeminars + TrainingenOnline magazineSale
“National finance” is a new concept launched by the author in his book National Finance ─ A Chinese Perspective, a unique monograph that differs from other financial publications dealing with general topics in public finance. 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 continues the discussion on recent developments relating to ethical and sustainable issues in accounting and finance from Volumes I and II, looking into topics such as the importance of good governance in accounting, tax, auditing and fraud examination, ethics, sustainability, environmental issues and new technologies and their effects on accounting and finance, focusing in particular on environmental and sustainability reporting in the oil and gas and banking sectors. 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
Discusses the use of quantitative classification methods for the prediction of bank acquisitions. With an overview of the mergers and acquisitions (M&As) trends in the EU banking industry and a survey of the motives for M&As, this book compares various statistical and computational methodologies used to analyze and predict bank acquisitions. Meer
Intends to introduce students to basic principles of international corporate finance. This book stresses practical applications in a user-friendly format. Meer
Expands on issues like fiscal sustainability, state enterprises and the variety of subsidies, with a multi-country focus. Drawing examples from numerous countries, this title presents issues in contemporary finance and especially fiscal policy that can benefit researchers and civil servants from both developed, as well as developing worlds. Meer
Analyzes some of the major derivatives debacles including the multi-billion losses and/or bankruptcy of Metallgesellschaft (1994), Barings Bank (1995), Long Term Capital Management (1998), Amaranth (2006), Societe Generale (2008) and AIG (2008). Meer
Provides the definitive treatment of fortune's formula or the Kelly capital growth criterion as it is often called. This volume covers various aspects of the theory and practice of dynamic investing. Meer
Provides a comprehensive application of wavelet analysis to financial markets, covering frontier issues in empirical finance and economics. After an overview of wavelet analysis, this book includes chapters that examine the various economic and financial topics and issues that stimulate academic and professional research. Meer
Stochastic Drawdowns consists of some recent advances on Hongzhong Zhang's own quantitative research of the well-known risk measures, drawdowns and maximum drawdowns. Meer
Discusses calendar or seasonal anomalies in worldwide equity markets as well as arbitrage and risk arbitrage. This title deals with US anomalies such as the January turn-of-the year, turn-of-the-month, January barometer, sell in May and go away, holidays, days of the week, options expiry and other effects concentrating on the futures markets. Meer
This book focuses on “Disruption and Change” in the Asian region. In this context, managers and policymakers face a fast transformation of existing structures and business environments. Meer
Derivatives Algorithms - Volume 1: Bones (Second Edition) is for practicing quants who already have some expertise in risk-neutral pricing and in programming, and want to build a reusable and extensible library. Meer
Als je jouw studieboeken gekocht hebt bij hanzestudybook.nl, kun je geselecteerde titels moeiteloos terugverkopen aan Noordhoff.
Geen vragen, geen gedoe en lekker duurzaam.
Een AI-book is niet een boek dat geschreven is door AI maar een boek dat verrijkt is met AI. Het maakt de inhoud van een boek interactief via WhatsApp, zodat je ermee kunt chatten. Zie het als een razend slimme assistent die het boek perfect begrijpt en er alles uit onthouden heeft. Jij kunt deze assistent alles vragen. Vraag bijvoorbeeld hoe je iets kunt toepassen op jouw persoonlijke situatie, om een korte samenvatting, of wat de belangrijkste inzichten zijn. AI-books zijn alleen te gebruiken via WhatsApp, je hoeft er geen aparte app voor te installeren.
Meer informatie over AI-books