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Het survivalboek voor de financiële jungleStevenen we af op een nieuwe bankencrisis? Het is best mogelijk. Kijk maar naar je spaarrekening. Dat je nauwelijks nog iets verdient aan je spaargeld is deel van een veel groter probleem. Terwijl je zou verwachten dat de banken vlot geld scheppen, staat hun klassieke verdienmodel onder druk. De centrale banken van Europa en de Verenigde Staten pompen miljarden in het systeem. Het zijn poging-en om de schuldencrisis op te lossen, maar helaas wordt de schuldenput daardoor alleen maar dieper.Wat is er toch aan de hand? Alain Praet en Pascal Paepen openen de deuren van de bankenwereld en laten ons mee binnen kijken. Heel concreet tonen ze hoe financiële instellingen ook jouw leven beïnvloeden en maken ze duidelijk dat abstracte financiële structuren en begrippen soms al te voelbare gevolgen hebben. Gelukkig hoef je dankzij dit boek niet meer bang te zijn voor de bank, of toch niet voor elke bank, want je zult eindelijk weten hoe banken werken en op welke manier ze hun geld verdienen.Bron : http://www.acco.be
Banken --- Financiën --- Bankwezen --- Kredietinstellingen --- Financiewezen --- banken --- financien --- banques --- finances --- PXL-Business 2020 --- financiewezen --- bankwezen --- Kredieten --- Beurs (financiewezen) --- Economics --- economie --- macro-economie --- micro-economie --- consumenten --- Private finance --- International finance --- financiële markten --- Geld --- 336.7 --- Kredietinstelling --- Krediet
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345 --- Aandelen --- Financiewezen --- Geld --- Kapitaalmarkten --- Kredietinstellingen --- Kredietvormen --- Obligatie --- Obligatiemarkt --- 345.5 --- Geld-, krediet- en bankwezen --- 336 <493> --- 336.7 <493> --- #SBIB:33H15 --- financiewezen --- institutionele beleggers --- 333.741.0 --- 333.632.0 --- 333.662 --- 336.718 --- Bank- en financiewezen --- Financiële instellingen --- Financiële markten --- Financiële producten en diensten --- Geldmarkt --- 336 )* FINANCIËN --- financiële markt --- Financiewezen . België --- Financien. Openbare financien. Bank- en geldwezen --(internationale financien zie {339.7})--België --- Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen--België --- Economie: geld en krediet --- investisseurs institutionnels --- krediet op korte termijn. geldmarkt: Algemeenheden. --- Obligaties: algemeenheden. --- Internationale uitgiften van effecten. Euro-uitgiften. --- 336.7 <493> Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen--België --- 336 <493> Financien. Openbare financien. Bank- en geldwezen --(internationale financien zie {339.7})--België --- #SBIB:HIVA --- Academic collection --- #ECO:02.02:financiële sector bank --- #ECO:05.01:landen België --- #A9701A --- België --- financiele markten --- financien --- kapitaalmarkt --- kredietinstellingen --- BE / Belgium - België - Belgique --- 333.110 --- 333.480 --- 333.600 --- 333.610 --- 333.633 --- 336.7 --- 336.71 --- 336.76 --- geldmarkt --- marches financiers --- finances --- marche des capitaux --- institutions de credit --- Centrale banken en parastatale kredietinstellingen: algemeen. Overheidsbemoeiïng inzake organisatie en verdeling van het krediet. --- Geldstelsel. --- Financiële markten. Kapitaalmarkten (algemeenheden). --- Effectenbeurzen: algemeenheden. --- Aandelen. --- Money market. Capital market --- Belgium --- Banks and banking --- krediet op korte termijn. geldmarkt: Algemeenheden --- Centrale banken en parastatale kredietinstellingen: algemeen. Overheidsbemoeiïng inzake organisatie en verdeling van het krediet --- Geldstelsel --- Financiële markten. Kapitaalmarkten (algemeenheden) --- Effectenbeurzen: algemeenheden --- Obligaties: algemeenheden --- Internationale uitgiften van effecten. Euro-uitgiften
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In this book leading financial professionals and academics examine the prospects for the European single currency. The impact of the Euro is assessed in terms of risks and opportunities for financial intermediaries, challenges for monetary and supervisory authorities and issues for portfolio management and corporate finance.
334.151.28 --- Ue3.e --- Kredietinstellingen in de Europese Gemeenschappen. --- Banks and banking --- Capital movements --- Euro --- 332.45 --- banques --- euro --- eurozone --- marches financiers --- union economique monetaire --- 333.602 --- 334.151.20 --- 334.151.21 --- 334.151.25 --- 339.40 --- AA / International- internationaal --- NBB congres --- Capital flight --- Capital flows --- Capital inflow --- Capital outflow --- Flight of capital --- Flow of capital --- Movements of capital --- Balance of payments --- Foreign exchange --- International finance --- Agricultural banks --- Banking --- Banking industry --- Commercial banks --- Depository institutions --- Finance --- Financial institutions --- Money --- banken --- zone euro --- financiele markten --- economische en monetaire unie --- Activiteiten en evolutie van de financiële markten --- Economische en monetaire unie van de Europese Gemeenschappen: algemeenheden --- Europese centrale bank. ESCB. Centrale banken --- Rekeneenheid, gemeenschappelijke munt van de Europese Gemeenschappen. ECU. Euro --- Kredietinstellingen in de Europese Gemeenschappen --- Vermogenbeheer. financiële analyse (algemeenheden) --- Vermogenbeheer. financiële analyse (algemeenheden). --- Euro. --- E-books --- Capital movements - Europe --- Banks and banking - Europe
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By and large, EU financial integration has been a success story. Still, the reform agenda is far from finished. What are the remaining challenges? What are the gains of closer financial market integration? This IMF book tracks the European Union's journey along the path to a single financial market and identifies the challenges and priorities that remain ahead. It pays particular attention to the most recent integration efforts in the European Union following the introduction of the euro. The study looks at the importance of financial integration, in particular for economic growth, the interplay between banks and markets, and equity market integration. It closely examines the relationship between financial integration and financial stability. This interaction presents the European Union with a challenge, but also with the opportunity to play a pioneering role in developing a regional approach to financial stability that could provide lessons for the rest of the world.
Private finance --- Europe --- Finance --- Capital market --- Financial institutions --- Finances --- Marché financier --- Institutions financières --- European Union --- Economic integration. --- Business & Economics --- Economic History --- 339.7 --- eenheidsmarkt --- europa --- financiele markten --- 333.102 --- 333.602 --- 333.610 --- 334.151.28 --- EEC / European Union - EU -Europese Unie - Union Européenne - UE --- -Finance --- -332.094 --- Financial intermediaries --- Lending institutions --- Associations, institutions, etc. --- Funding --- Funds --- Economics --- Currency question --- Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- marché unique --- europe --- marchés financiers --- Bankconcentratie. --- Activiteiten en evolutie van de financiële markten. --- Effectenbeurzen: algemeenheden. --- Kredietinstellingen in de Europese Gemeenschappen. --- 339.7 Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- Marché financier --- Institutions financières --- Capital markets --- Market, Capital --- E.U. --- Loans --- Money market --- Securities --- Crowding out (Economics) --- Efficient market theory --- 332.094 --- Bankconcentratie --- Activiteiten en evolutie van de financiële markten --- Effectenbeurzen: algemeenheden --- Kredietinstellingen in de Europese Gemeenschappen --- European Union countries --- Banks and Banking --- Finance: General --- Financial Risk Management --- Investments: Stocks --- Industries: Financial Services --- Accounting --- Investments: General --- Insurance --- General Financial Markets: General (includes Measurement and Data) --- Banks --- Depository Institutions --- Micro Finance Institutions --- Mortgages --- General Financial Markets: Government Policy and Regulation --- Financial Institutions and Services: Government Policy and Regulation --- Pension Funds --- Non-bank Financial Institutions --- Financial Instruments --- Institutional Investors --- Bankruptcy --- Liquidation --- Banking --- Investment & securities --- Economic & financial crises & disasters --- Insurance & actuarial studies --- Macroeconomics --- Financial reporting, financial statements --- Stock markets --- Financial sector stability --- Financial integration --- Financial services --- Financial markets --- Financial sector policy and analysis --- Competition --- Banks and banking --- Financial services industry --- Stock exchanges --- International finance --- United States
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pp. 1- 133 : hebben betrekking op Kameleon Spellingpp. 134-176 : hebben betrekking op Kameleon Taalbeschouwing
Banken. --- Financiewezen. --- Financiële instellingen. --- Financiën. --- beurs --- geldhandel --- financieel management --- financiën --- beleggen --- Finance --- bankwezen --- Nederlandse taal ; basisonderwijs ; leermiddelen --- 371.67 --- 373.3 --- Nederlands --- lager onderwijs --- leerboeken --- spelling --- taalbeschouwing --- 475.2 --- schoolboeken --- Differentiatie --- Remediëring --- Spelling --- Taal --- Taalbeschouwing --- 842 --- Nederlands; ba.o. --- 475.24 --- 371.67 Leerboeken. Wetenschappelijk instrumentarium. Cartografische hulpmiddelen --- Leerboeken. Wetenschappelijk instrumentarium. Cartografische hulpmiddelen --- Lager en basisonderwijs --- didactiek basisonderwijs - Nederlands --- Taalonderwijs ; Nederlandse taal --- Taalonderwijs; Nederlandse taal --- Schoolbooks - Didactic material --- Contains audio-visual material --- 336.717 --- 430 Financien --- 336.7 --- marches financiers --- financiele instellingen --- 345.1 --- banken --- economie --- financieringsleer --- 333.100 --- 333.600 --- 333.70 --- AA / International- internationaal --- BE / Belgium - België - Belgique --- U40 - Droit bancaire et financier : Généralités - Algemeen financieel en bankrecht --- Bank- en financiewezen --- 336.717 Bankactiviteiten. Bankoperaties. Giroverteer. Deposito. Rekening-courant. Beleningen. Disconto. Effecten. Beurs. Incasso. Emissies --- Bankactiviteiten. Bankoperaties. Giroverteer. Deposito. Rekening-courant. Beleningen. Disconto. Effecten. Beurs. Incasso. Emissies --- Private financiën --- financiele markten --- institutions financières --- geldwezen --- Algemeenheden. Theorie en principes van de bankorganisatie en -techniek. --- Financiële markten. Kapitaalmarkten (algemeenheden). --- Theorie en organisatie van het bankkrediet. --- #BSCH: vak: Nederlands --- Lager onderwijs --- Schoolboeken --- 3e leerjaar l.o. --- Didactiek --- Handboek/cursus --- alfabet --- antoniemen --- gezegde --- handboek --- hoorwoorden --- hyperoniemen --- hyponiemen --- interpunctie --- leestekens --- moedertaal --- onderwerp --- rijmwoorden --- signaalwoorden --- synoniemen --- verkleinwoorden --- verwijswoorden --- voorzetsels --- woordsoorten --- zin --- 475.21 --- 475.24 ) * SCHRIJVEN --- linguïstiek --- taal --- Nederlands ; basisonderwijs --- Spelling ; basisonderwijs --- Taalbeschouwing ; basisonderwijs --- Taalbeschouwing; ba. o. --- Moedertaal: handboek lagere school --- Nederlandse spelling ; beroepsonderwijs ; leermiddelen --- Spelling: handboek lagere school --- Schrijven --- taalmethode; Nederlandse taal --- handboeken basis onderwijs --- PXL-Education 2015 --- PXL-Education 2013 --- spellingmethode; Nederlandse taal --- departement Handelswetenschappen en Bedrijfskunde 10 --- Remediëring --- Nederlands; ba.o --- 3e leerjaar lager onderwijs --- Geldwezen --- 2e leerjaar lager onderwijs --- 3e leerjaar l.o --- linguïstiek --- Taalbeschouwing; ba. o --- Algemeenheden. Theorie en principes van de bankorganisatie en -techniek --- Financiële markten. Kapitaalmarkten (algemeenheden) --- Theorie en organisatie van het bankkrediet --- Dialect --- Etymologie --- Fonetiek --- Idioom --- Zinsleer --- Linguïstiek --- Vlaams --- Vlaanderen --- Emigratie
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This book develops a descriptive theory of a financial system's organisations and functions. It uses an institutional economics framework to reconcile different approaches, including neoclassical economics and managerial finance.
inkomstenbelasting --- fiscaal recht --- nederland --- impot sur le revenu --- droit fiscal --- pays bas --- Entreprises financières --- Financiële instellingen --- Instellingen [Financiële ] --- Institutions financières --- Intermédiaires financiers --- Établissements financiers --- Finance --- Financial institutions --- 336.7 --- Financial intermediaries --- Lending institutions --- Associations, institutions, etc. --- Funding --- Funds --- Economics --- Currency question --- 336.7 Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen --- Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen --- Finance. --- Financial institutions. --- marches financiers --- 333.100 --- 658.40 --- AA / International- internationaal --- financiele markten --- Algemeenheden. Theorie en principes van de bankorganisatie en -techniek --- Financieel beheer van de bedrijven: algemeenheden
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Most accounts explain the postwar globalization of financial markets as a product of unstoppable technological and market forces. Drawing on extensive historical research, Eric Helleiner provides the first comprehensive political history of the phenomenon, one that details and explains the central role played by states in permitting and encouraging financial globalization.Helleiner begins by highlighting the commitment of advanced industrial states to a restrictive international financial order at the 1944 Bretton Woods conference and during the early postwar years. He then explains the growing political support for the globalization of financial markets after the late 1950s by analyzing five sets of episodes: the creation of the Euromarket in the 1960s, the rejection in the early 1970s of proposals to reregulate global financial markets, four aborted initiatives in the late 1970s and early 1980s to implement effective controls on financial movements, the extensive liberalization of capital controls in the 1980s, and the containment of international financial crises at three critical junctures in the 1970s and 1980s.He shows that these developments resulted from various factors, including the unique hegemonic interests of the United States and Britain in finance, a competitive deregulation dynamic, ideological shifts, and the construction of a crisis-prevention regime among leading central bankers. In his conclusion Helleiner addresses the question of why states have increasingly embraced an open, liberal international financial order in an era of considerable trade protectionism.
International finance. --- Monetary policy. --- State, The. --- Administration --- Commonwealth, The --- Sovereignty --- Political science --- Monetary management --- Economic policy --- Currency boards --- Money supply --- International monetary system --- International money --- Finance --- International economic relations --- International finance --- Monetary policy --- State, The --- bretton woods --- etat --- histoire economique --- marche international financier --- politique monetaire --- 321.2 --- 333.432.8 --- 333.600 --- 333.605 --- 336.61 --- AA / International- internationaal --- staat --- economische geschiedenis --- internationale financiele markt --- monetair beleid --- Economisch beleid van de overheid --- Internationale monetaire organisatie. Internationaal Muntfonds. Algemene leningovereenkomsten --- Financiële markten. Kapitaalmarkten (algemeenheden) --- Nieuwe financiële instrumenten --- Financieel beleid --- Histoire économique --- --Finance --- --1944-1990 --- --International finance --- --International finance.
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The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF investments. Renowned experts in the field have contributed chapters. The book is organized around four themes: (1) the role and macrofinancial linkages of SWFs, (2) institutional factors, (3) investment approaches and financial markets, and (4) the postcrisis outlook. The book also discusses the challenges facing sovereign wealth funds in the coming years, from an inside perspective on countries, including Canada, Chile, China, Norway, Russia, and New Zealand. Economics of Sovereign Wealth Funds will contribute to a further understanding of the nature, strategies and behavior of SWFs and the environment in which they operate, as their importance is likely to grow in the coming years.
Sovereign wealth funds. --- Fonds souverains --- Political Science --- Law, Politics & Government --- Public Finance --- Sovereign wealth funds --- AA / International- internationaal --- 333.138.2 --- 336.033 --- 339.113 --- 333.602 --- 332.632 --- Funds, Sovereign wealth --- SWFs (Sovereign wealth funds) --- Investment of public funds --- Actieve organismen.Holdings. Portefeuillemaatschappijen. --- inkomsten van openbare bedrijven. --- Buitenlandse investeringen. --- Activiteiten en evolutie van de financiële markten. --- Investment of public funds. --- Public funds, Investment of --- Finance, Public --- Investments --- Legal investments --- Public investments --- E-books --- Actieve organismen.Holdings. Portefeuillemaatschappijen --- Activiteiten en evolutie van de financiële markten --- inkomsten van openbare bedrijven --- Buitenlandse investeringen --- Macroeconomics --- Banks and Banking --- Financial Risk Management --- Exports and Imports --- Investments: General --- Foreign Exchange --- Central Banks and Their Policies --- Pension Funds --- Non-bank Financial Institutions --- Financial Instruments --- Institutional Investors --- Monetary Policy --- International Investment --- Long-term Capital Movements --- Financial Crises --- General Financial Markets: General (includes Measurement and Data) --- Economic & financial crises & disasters --- Banking --- Finance --- International economics --- Financial crises --- Central banks --- Asset and liability management --- Global financial crisis of 2008-2009 --- International reserves --- Investment policy --- National accounts --- Foreign direct investment --- Balance of payments --- Currency crises --- Banks and banking, Central --- Foreign exchange reserves --- Global Financial Crisis, 2008-2009 --- Saving and investment --- Financial services industry
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How is finance related to economic processes, and why should it be viewed as a public good requiring policy action? This book provides an answer. The book develops a practical framework for safeguarding financial stability, which encompasses both prevention and resolution of problems. It also examines on-going and future challenges to financial stability posed by globalization, a growing reliance on derivatives and their markets, and the capital market activities of insurers and reinsurers.
Banks and banking, Central --- Finance --- Risk --- 332 --- banken --- financiele markten --- imf --- Fc3.i --- 333.109 --- 333.432.8 --- 333.481 --- 333.602 --- AA / International- internationaal --- Economics --- Uncertainty --- Probabilities --- Profit --- Risk-return relationships --- Banker's banks --- Banks, Central --- Central banking --- Central banks --- Banks and banking --- Funding --- Funds --- Currency question --- banques --- marches financiers --- fmi --- Veiligheid. Bankovervallen. Bankrisico's --- Internationale monetaire organisatie. Internationaal Muntfonds. Algemene leningovereenkomsten --- Monetaire crisissen, hervormingen, saneringen en stabilisering --- Activiteiten en evolutie van de financiële markten --- Banks and banking, Central. --- Finance. --- Risk. --- International finance --- Finances --- Banques centrales --- Risque --- Banks and Banking --- Finance: General --- Macroeconomics --- Money and Monetary Policy --- Industries: Financial Services --- General Financial Markets: Government Policy and Regulation --- General Financial Markets: General (includes Measurement and Data) --- Pension Funds --- Non-bank Financial Institutions --- Financial Instruments --- Institutional Investors --- Monetary Policy, Central Banking, and the Supply of Money and Credit: General --- Financing Policy --- Financial Risk and Risk Management --- Capital and Ownership Structure --- Value of Firms --- Goodwill --- Monetary economics --- Financial services law & regulation --- Banking --- Economic & financial crises & disasters --- Financial sector stability --- Insurance companies --- Credit risk --- Credit --- Derivative markets --- Financial sector policy and analysis --- Financial institutions --- Money --- Financial regulation and supervision --- Financial markets --- Financial services industry --- Financial risk management --- Derivative securities --- United States
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This book presents an economic survey of international capital mobility from the late nineteenth century to the present. The authors examine the theory and empirical evidence surrounding the fall and rise of integration in the world market. A discussion of institutional developments focuses on capital controls and the pursuit of macroeconomic policy objectives in shifting monetary regimes. The Great Depression emerges as the key turning point in recent history of international capital markets, and offers important insights for contemporary policy debates. Its principal legacy is that the return to a world of global capital is marked by great unevenness in outcomes regarding both risks and rewards of capital market integration. More than in the past, foreign investment flows largely from rich countries to other rich countries. Yet most financial crises afflict developing countries, with costs for everyone.
Capital market --- International economic relations --- International finance --- History. --- 332.042 --- crise financiere --- croissance economique --- globalisation --- marche international des capitaux --- 333.109 --- 333.139.3 --- 333.602 --- 333.605 --- 333.613 --- AA / International- internationaal --- 336.76 --- 339.7 --- 336.76 Beurswezen. Geldmarkt. Valutamarkt. Binnenlandse geldmarkt. Valutamarkt --- Beurswezen. Geldmarkt. Valutamarkt. Binnenlandse geldmarkt. Valutamarkt --- 339.7 Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- Capital markets --- Market, Capital --- Finance --- Financial institutions --- Loans --- Money market --- Securities --- Crowding out (Economics) --- Efficient market theory --- History --- financiele crisis --- economische groei --- globalisering --- internationale kapitaalmarkt --- Veiligheid. Bankovervallen. Bankrisico's --- Nationalisatie van de banken --- Activiteiten en evolutie van de financiële markten --- Nieuwe financiële instrumenten --- Activiteiten van de nationale en internationale markten. Beursnoteringen van aandelen en obligaties --- Money market. Capital market --- Business, Economy and Management --- Economics --- Finances internationales --- Marché financier --- Relations économiques internationales --- Histoire --- International finance - History --- Capital market - History --- International economic relations - History
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