AdHoc MeldungenAffiliate & PublisherAdvertiser & MerchantAcademyAntwortenArtikelsucheAdventskalender SuperClix - das Partner-Programm-NetzwerkAffilitivProduktdatenPreisvergleich
Artikelsuche & Preisvergleich:


· 1 · ::::: · 2 ·· 3 ·· 4 ·· 5 ·· 6 ·· 7 ·· 8 · ::::: · 12 ·

Market Discipline, Transparency and Disclosure Requirements in Banking

für 71.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Developing disclosure rules and requirements means more than just addressing the relevant needs for information. In order to be efficient they need to achieve true business benefits for the ones that disclose the information and for the ones that are supposed to use the information. By being given numerous reporting and disclosure obligations, banks are exposed to significant costs, due to which they are pressured to redistribute the resources, falling short on the business i.e. income driving side. Knowing this, is there an economic and other justification for Pillar 3 of Basel II Is it a time for new and improved disclosure solution that will not increase the quantity of the existing disclosure requirements, but will assure transparency in the operations of the banks, will provide for sufficient information, and what s most important, will not require additional resources ····· 10361147201

Demand for Money in India

für 71.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Money demand elasticities have been considered as critical inputs to regulate the conduct of monetary policy. A stable demand function for money further has been regarded as essential condition for the viability of monetary policy. Hence, demand for money has been subjected to extensive empirical scrutiny in many countries over the years. The issue assumes importance in the context of an economy experiencing financial innovation, deregulation and technological changes. Therefore, it is felt necessary to have a fresh look at some of the issues in the context of Indian economy. In the light of above discussion the objectives of the present study are set as follows: (i) to examine the role of asset markets, external sector and inflationary expectation on demand for money in the context of financial innovation, institutional changes, liberalization and asset market changes,(ii) to re examine the issue of temporal stability and long run equilibrium relationship of money demand function by using latest time series techniques (iii) to test the validity of the Buffer - Stock approach to money demand, and (iv) to examine the implications of the new evidences for monetary policy. ····· 10361147198

Financial Analysis of Inventory

für 32.31€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The present book deals with some aspects of inventory financial management detailed in three chapters. The first one is a framework of inventory financial management and analysis the different inventory cost elements. It closed with Wilson model of inventory management. The second chapter presents the different methods inventory pricing and the reasons for choosing one of these methods. The last chapter was reserved for inventory control precisely: material variance analysis and raw material productivity. Finally, and in order to test the level of assimilation of the content of these three chapters, three quizzes with their answers are offered. ····· 10361147186

Evaluate the Rationality of the Investor`s Investment Decisions

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The investment plays an important role in developing the Palestinian`s economy and it is a main factor in enhancing the economic process in any country. So, all countries with their different economic and political systems are interested with investment field. Rational investment decisions have an important role in enhancing the investment process. So it is necessary to support and to increase the awareness of investors in order to make effective investment decisions. The investors should consider different external factors to eliminate any negative effects on the investment decision. The book focus on studying PSE with respect to the behaviors of the Palestinian investors to make the investment decisions and discuss the techniques used by the Palestinian investors to make their investment decisions ····· 10361147007

Financing Energy Efficiency In South Africa

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The author reviews published research papers, articles, policy documents and case studies on energy efficiency (EE) projects completed in developed and developing EE markets to establish the key factors driving those markets. A broad analysis of existing financing models and support policies for implementing EE projects by lenders and investors is done, with inferences drawn on possible financing model adaptations for use in the South African market. The Brazil,India,South Africa, UK and USA markets are analysed in terms of structure, development and complex participant relationships. Noted in particular is the apparent slow uptake by lenders to fund EE projects in developing markets, despite the evident substantial projected returns and policy support frameworks. The behavior of lenders suggests the classical information asymmetry problem between lenders (buyers of future project cash flows) and project owners (borrowers) selling EE project cash flows, specifically in developing markets. The author suggests a financing model and modifications that may be adopted for the South African market drawing on appropriate features of existing financing models in other markets. ····· 10361146881

A Model for Stock Price Prediction using the Soft Computing Approach

für 61.20€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
A number of research efforts had been devoted to forecasting stock price based on technical indicators which rely purely on historical stock price data. However, the performances of such technical indicators have not always satisfactory. The fact is, there are other influential factors that can affect the direction of stock market which form the basis of market experts opinion such as interest rate, inflation rate, foreign exchange rate, business sector, management caliber, investors confidence, government policy and political effects, among others. In this study, the effect of using hybrid market indicators such as technical and fundamental parameters as well as experts opinions for stock price prediction was examined. Values of variables representing these market hybrid indicators were fed into the artificial neural network (ANN) model for stock price prediction. The empirical results obtained with published stock data show that the proposed model is effective in improving the accuracy of stock price prediction. Also, the performance of the neural network predictive model developed in this study was compared with the conventional Box-Jenkins autoregressive integrated moving ····· 10361146794

Portfolio Performance

für 61.20€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
This book delineates the Portfolio Performance of BSE Stocks using Multi Factor Model. The Capital Markets are the backbone of the corporate sector because they mobilize sufficient fund required for their development. Every investor, to some extent, is aware of the trade-off between risk-return, but they do not know about what amount of risk is involved in every stock. They do not have deep knowledge about the amount of risk and the kind of risks affecting their investment in particular and market in general. Earning the return in excess of risk free return is not an easy task as number of factors tends to influence the price of stock. Therefore, the study identified the list of significant variables among the alternative measures of risk, other than beta and developed a Multi Factor Model for return on portfolio investment. Further, it explains to the investors how different tools can be used to evaluate the relationship between risk and return associated with every asset and encourages them towards making correct investment decisions. In short, the book explains how returns in Excess of Risk Free Return could be achieved from investments in the Indian Share Market. ····· 10361146613

Understanding The Nigerian Stock Exchange

für 61.20€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The constant function of the Nigerian Stock Exchange is to provide market in which securities may be bought and sold and facilitate the raising of money by Government, State and Local Governments, and Public Companies. It is a vast trading floor in the building at the E/4 Customs Street, Lagos, near the Central Bank of Nigeria. It is the nation s largest Organised Securities market where Exchange member brokers daily buy and sell, for thousands of people, the stocks and bonds of most Nigeria s leading companies. The Nigerian Stock Exchange has branches in Kaduna, Port-Harcourt, Kano (1989), Onitsha, Ibadan, Abuja, Yola, Benin, Uyo, Ilorin and Abeokuta where daily activities are also taking place. The following legend could well appear beneath its name: Here is where people buy and sell Ownership in Nigerian leading companies. The analysis should be a contribution to new theories of Economic development and some aspects of economic growth, emphasising the role of the Stock Exchange Market in economic development, making use of familiar concept of the production function and supply side problem of the economy. ····· 10361146578

Why is CVaR Superior to VaR?

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Until recently, Value-at-Risk (VaR) has been a widely used risk measure in portfolio optimization. The recently frequent bank failures show that VaR fail to account for losses caused by rare events such as the global financial crisis, thereby questioning its reliability and credibility as a measure of risk. Alternatively, previous work concurs that Conditional Value-at-Risk (CVaR) is a coherent tail risk measure, and has established the superiority of CVaR over traditional measures of risk from a theoretical standpoint. This book investigates the reasons that render CVaR superior to other risk measures from an empirical perspective. We develop a theoretical model that solves the mean-risk portfolio optimization problem within a unified framework for all three risk measures - variance, VaR and CVaR. We test our model empirically using financial data on return indices over a period covering the financial crisis. Our results support the theoretical predictions. The mean-CVAR framework respects diversification and can be applied to multi-model returns, unlike mean-variance and mean-VaR which are only valid when returns are normal. CVaR is the most conservative measure of risk. ····· 10361146500

Financing Concept to adopt Equator Principles

für 61.20€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Indonesian Financial Institutions, would become green Financial Institutions, will adopt Equator Principles and drive traditional Financial Institutions becomes green Financial Institutions in Indonesian Green FI concept. To manage project finance to protect environment in Indonesia from Financial Institutions point of view, Environmental and Social policy need to be established since local Indonesian Financial Institutions concerned about their client project s environmental impact assessment and should included in client proposal in order to apply project finance ····· 10361146314

Stock market integration

für 71.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Financial markets in most developing countries have grown rapidly over the past few decades owing to various factors such as deregulation, globalisation and advances in information technology. During this time financial markets all over the world have also witnessed growing integration among themselves. Market integration means a situation where there are no impediments such as legal restrictions, transaction costs, taxes and tariffs against the trade in foreign assets or the mobility of portfolio equity flows. Stock market integration is vital for a host of reasons. It provides further opportunities in risk-sharing among integrated markets. It also contributes to financial stability by enhancing competition and efficiency in the allocation of resources. In addition, it reduces the cost of capital and price volatility among integrated markets. This book sheds light on the financial integration among four emerging stock markets in the Middle East and North Africa (MENA) region, namely, Egypt, Turkey, Jordan and Morocco. ····· 10361146309

Basel III: evaluation and impact in the Czech Republic

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The thesis is focused on content and impact of the new Basel Capital Accord, commonly known as Basel III. These rules react to recent development in global financial markets and introduce some substantial changes into regulatory approach, which include changes to the definition and required amount of regulatory capital and presents new liquidity requirements. The thesis then assesses new rules form two points of view. First, a quantitative model is constructed that predicts the impact of new rules on capital adequacy of four major Czech banks based on default rates data. In the second part of the analysis, institutional impact of new regulation is stressed, namely the question of how new rules fit within the theoretical framework of optimal regulatory architecture and what pitfalls they have. The thesis is unique in the eclectic nature of its approach, whereby two seemingly disparate approaches oppose each other and an attempt at synthesis is presented. ····· 10361146300

Interest-Free Banking

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Today, interest-free banking has become an undeniable reality. It has been introduced and accepted widely in many countries of the world including Muslims as well as non-Muslim dominated countries. The underlying principle of Islamic banks is the principle of justice which is an essential requirement for all kinds of Islamic financing. The prohibition of interest and speculation, as well as the sharing of profit and loss between the bank and the customer, are the basic principles. The Islamic financial system employs the concept of participating in lawful business opportunities, utilizing the funds at risk on a profit-and-loss-sharing basis. Through this system, Islamic banking opens windows of opportunities for countries who have implemented it. However, to achieve such benefits, suitable working environment is a mandatory. The financial environment should be free from obstacles and it should be well-situated for the banking system and it should permit all the activities of the bank to be implemented. ····· 10361146183

Export Letters of Credit and their use by Local SMEs

····· lezzter Preis 53.10€ ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Are you an SME operating locally (domestically) and you are thinking of getting involved in international trade but face the difficulty of accessing bank trade financing This guide is vital for you. It is packed with new, simplified and clarified material on how local SMEs can access export trade financing. It also describes dozens of difficulties which SMEs involved in export trade are often exposed to or are tantamount to encounter. It provides up-to-the-minute information on how such difficulties can be overcome. This guide will help both the trade financier (bank) and the local trader/businessman (exporting SME) build and maintain a continual successful business partnership like a team laughing together. It will help: The Banker to fully understand the trade needs and difficulties of exporting SMEs as well as guide them in creating structured trade finance products to overcome these export trade inhibitors. To the SME: It will ennoble them as key bank customers and partners, and enhance them as main contributors to the Balance of Trade and thus economic growth. ····· 10361136000

A Study of the Working of Central Cooperative Bank

für 44.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The aim of this book is to provide the detailed information and data to advance the knowledge of the students,researchers and bank officials who are interested in the study of working of Cooperative Banks.This book has a detailed discussion on origin & growth,rules for membership and management patterns, share capital, working capital,borrowings and loan operations of Central Cooperative Bank.Besides,the policies of the Central Cooperative Bank announces by the Government for grant the loans to the members has also been highlighted in this book. ····· 10361135724

Islamic Equity Unit Trust Funds

für 53.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
The purpose of this study is to examine the relationship between the NAV of the Islamic equity unit trust funds and selected macroeconomic variables as well as the effect of the recent global financial crisis in the Malaysian financial industry. The study also compares the performance of Islamic and conventional unit trust funds for Malaysian capital market. This study facilitates the investors in making effective investment decisions by estimating the future direction of NAV of the Islamic equity unit trust fund using the expected trend in the macroeconomic variables. In addition, the empirical result of this study also presents the investors with new perspective of selecting the type of funds in their portfolio selection, whether Islamic equity fund or conventional equity fund. ····· 10361135581

Asset Allocation, Risk Management and the Variance Risk Premium

für 53.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
This dissertation shows the practical usefulness for asset allocation and risk management purposes of the variance risk premium, an index of market implied risk aversion. With reference to the asset allocation application, the short term forecasting ability of the variance risk premium is tested in a real time experiment by simulating long/ short quarterly rebalanced portfolios invested in the S&P500 based on the prediction of econometric models incorporating the premium. The result indicates that the use of the risk aversion index allows the Investor to outperform both the buy and hold strategy as well as similar strategies not including the risk premium both on a risk adjusted basis as well an on an absolute return one. With reference to the risk management application of the risk aversion index, we modify the filtered historical simulation approach to computation of the value at risk by relaxing the assumption of random walk and replace the model drift with a time varying conditional expectation of short-term stock returns. We find that there is little evidence that value at risk models can be improved with the predictability associated with the variance risk premium. ····· 10361135495

El caso Gescartera

für 71.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de Cristóbal Ricardo Montoro Romero, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135337

El caso Gescartera

für 62.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de Juan Fernando López Aguilar, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135336

El caso Gescartera

für 66.60€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de Ángel Martínez Sanjuán, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135335

El caso Gescartera

für 66.60€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de Margarita Uria Etxebarria, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135331

El caso Gescartera

für 62.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de María Teresa Costa Campí, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135329

El caso Gescartera

für 62.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de Juan Fernando López Aguilar, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135328

El caso Gescartera

für 71.10€ kaufen ···· Rheinberg-Buch.de - Bücher, eBooks, DVD & Blu-ray
Este ejemplar se basa en una recopilación documental de las principales discusiones políticas en Espańa del Siglo XXI en torno al caso Gescartera. A partir de las fuentes del Congreso de Diputados, los discursos no abreviados, entre otras, la postura de María Teresa Costa Campí, tratamos de introducir al lector en la temática para que pueda tomar una postura crítica respecto a los debates parlamentarios y las discusiones políticas diarias de los diferentes actores y partidos políticos sobre el caso Gescartera. ····· 10361135325

· 1 · ::::: · 2 ·· 3 ·· 4 ·· 5 ·· 6 ·· 7 ·· 8 · ::::: · 12 ·