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Financieel management houdt zich bezig met twee belangrijke soorten beslissingen: financieringsbeslissingen en investeringsbeslissingen. In eerste instantie gaat dit boek in op de inhoud en de analyse van de voornaamste boekhoudkundige rapporteringsstaten. Vervolgens komen de financieringskeuze van ondernemingen en de basisprincipes van de kostprijsanalyse en de investeringsanalyse aan bod.De auteur opteert in dit werk bewust voor een gecombineerde aanpak vanuit bedrijfseconomisch, juridisch en financieel oogpunt. Theorie wordt aangevuld met voorbeelden en oefeningen, waarmee de lezer de verworven kennis meteen kan testen.
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The landscape of international finance has drastically changed within the last decade. The institutions inherited from the Bretton-Woods conference-the IMF and the WBD- have become obsolete, in part, due to their lack of reforming. Meanwhile newly created institutions including The New Development Bank and the Asian Infrastructure Investment Bank are increasing their sphere of influence. Developing countries from Africa, Asia, and Latin America are more eager than ever to work with the NDB or the AIIB. Meanwhile, new players such as Sovereign Wealth Funds are reshaping financial markets, through their weights and influence in global markets. The book looks to enhance understanding of the real markets of international finance and proposes ways to bring the old and new players together in this sand-shifting world of international finance. Felix I. Lessambo is Adjunct Associate Professor at Fordham University, USA, where he teaches Corporate Tax and Audit & Assurance Services. He was an Associate Professor at Central Connecticut State University School of Business where he taught Financial Statements Analysis and Global Reporting. He has practiced international tax, transfer pricing, and in alternative investment management groups where he structured and advised on hedge funds and private equity cross-border transactions. He is the author of several books in finance including The International Banking System, The International Corporate Governance System, International Institutions and Their Challenges, International Aspects of US Taxation System, Audit-Assurance Services & Forensics, Financial Statements: Analysis & Reporting, the US Banking System, and Mergers in the Global Markets.
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The SDGs, developed by the UN in 2012, focuses on 17 goals for the betterment of humanity and humanitarian causes. Among the core objectives of Shari'ah in Islamic finance is to offer a helping hand, emphasizing the efforts and scope of the SDGs. This book explores how Islamic ethical wealth is structured to contribute to the SDGs and an overall socio-economic impact within the principles of Maqasid al-Shari'ah. Focusing areas such as Islamic micro-finance, wealth inclusion, corporate and agro-Zakat, Awqaf, SRI Sukuk, and green Sukuk, this book will feature contributions from the leading researchers in sustainability and Islamic finance and will be of interest to scholars, researchers, industrialists, NGOs, UNDP and students studying both areas. Mohd Ma'Sum Billah, PhD is a Professor of Finance, Insurance, FinTech, Investment and Capital Market at the Islamic Economics Institute of King Abdul Aziz University, Kingdom of Saudi Arabia. He is an internationally renowned Islamic finance scholar. He has served and contributed to academia and corporate industries for over 20 years providing management, teaching, research and problem-solving, particularly in the areas of Islamic finance and insurance (Takaful), and the Halal standard. Billah has published 36 books and chapters in books as well as over 300 articles in journals and on social media. He has presented at numerous conferences, seminars, executive workshops, and industrial training sessions around the globe. In addition, he has been affiliated with various companies, universities, and financial institutions including central banks, international corporate organizations, governments, and NGOs in his capacity as a member on boards, an advisor, a strategic decision-maker, and a reformer with a strategic solution provider. His areas of interest include Islamic finance and insurance (Takaful), crowdfunding, investment, Awqaf, capital markets (Sukuk), social finance, SDGs, Crypto-currency, and FinTech.
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Business policy --- Financial management --- risk management
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Business policy --- Financial management --- Corporate finance --- bedrijfsfinanciën
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This book tells the story of the euro crisis in Cyprus from the inside. Written by the former Governor of the Central Bank of Cyprus, Panicos Demetriades, who was in office during this turbulent period, this book shows how the crisis unravelled through a series of key events that occurred during his tenure. Written in chronological order, and broadly based on the author’s personal diary, starting from his first day in office, this volume brings together economics, banking, regulation, governance, history, politics and international relations. Presenting personal witness statements, including records of noteworthy telephone conversations, informal meetings and other milestones, it examines crucial questions like: How did Cyprus become so systemically important to the rest of the euro area? Why was Cyprus treated so differently in comparison to other peripheral countries in Europe? Why were bank depositors targeted? What role did Cyprus’ links with Russia play in the design of the programme? What has been the toxic fallout from the bail-in? Are there any longer-term implications for the euro? What are the lessons for regulators around the world? The book will appeal to readers interested in financial crises, the euro’s architecture, the evolution of the European Monetary Union, and those with an interest in how Europe and the IMF dealt with crises in peripheral European countries.
Business cycles --- Financial management --- economische crisis --- Cyprus
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De wereld is meer dan in het verleden aan veranderingen onderhevig. Vooral het tempo van de veranderingen en daarmee de potentiële risico's vormen een belangrijk element hierbij. Organisaties moeten goed kunnen inspelen op deze risico's. Inleiding risicomanagement beschrijft op een toegankelijke manier de basisprincipes van risicomanagement. Het boek gaat in op enkele basisbegrippen die van toepassing zijn op het vakgebied. Deze begrippen worden gekoppeld aan diverse risicomanagementraamwerken en uiteindelijk aan het risicomanagementproces. De specifieke onderdelen van het risicomanagementproces worden uitgebreid behandeld vanuit verschillende perspectieven. Door de stappen van het proces te doorlopen, worden studenten zich bewust van de risico's waaraan organisaties blootgesteld worden, om vervolgens verantwoorde keuzes te maken bij de mogelijke beheersing ervan. Bij dit boek hoort een website met extra studiemateriaal. Dit materiaal bestaat uit een begrippentrainer en een casusopdracht. Voor docenten die het boek verplicht voorschrijven is er op aanvraag docentenmateriaal beschikbaar in de vorm van powerpoints.
Business policy --- Financial management --- risk management
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