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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Provides a description of the fixed income derivatives business from a practitioner's point of view. With an overview of fixed income derivatives products and with particular emphasis on the concrete usage of mathematical models, this book is useful for anyone considering a career in derivatives either as a trader, a quant or a structurer. Meer
Describes the applications of agent-based modeling to financial markets. Presenting conceptual foundations for modeling markets as complex systems, this book describes the agent-based model of the Nasdaq stock market, including strategies used by market-makers and investors, market participants interactions, and impacts of rules and regulations. Meer
Explores the potential and problems of bank safety and efficiency arising from the area of cross-border banking in the form of branches or subsidiaries with primarily only national prudential regulation. Meer
The global credit derivatives market grew in notional value from $1 trillion to $20 trillion from 2000 to 2006. However, understanding the true nature of these instruments still poses both theoretical and practical challenges. Meer
In the interests of globalization, many companies are establishing theories and practices for international management accounting. This book discusses the status of international management accounting in Japan through interviews with three major electronics companies: Matsushita, Sharp, and Sanyo. Meer
Discusses the workings of financial markets and over-the-counter (OTC) markets, focusing on standard and complex derivatives. This book covers subjects, which range from the fundamental products in OTC markets, standard and exotic options, the concepts of value at risk, to credit derivatives and risk management. Meer
In this book, the relationship between financial decision-making and chronic regulatory focus is explored to provide a better understanding of consumer decisions. Meer
The six papers in this vohune represent state-of-the-art empirical and conceptual research on various aspects of the taxation of multinational corporations. Meer
The Economic Foundations of Risk Management presents the theory, the practice, and applies this knowledge to provide a forensic analysis of some well-known risk management failures. Meer
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
The book compiles a comprehensive set of case of studies in business and accounting from the MENA region. These case studies consist of practical research studies with strong theoretical foundations. 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
The business environment, particularly after the continuing oil crises of the seventies, can be characterized as evolving rapidly in complex and often unpre dictable ways. Meer
This book focuses on factors impacting audit quality, and solutions to these problems. In addition to elaborating on legislation in the European Union and United States, the book also provides a thorough outlook of Turkish audit market from the point of view of auditing firms and their clients. Meer
Cross-border banking, while having the potential for a more efficient financial sector, also creates potential challenges for bank supervisors and regulators. Meer
Aims to help an individual (or a family) design a personal investment strategy. This book explains how stock markets can be used to make a large fortune from a small investment. Meer
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