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Bemærk: Kan ikke leveres før jul.
Bemærk: Kan ikke leveres før jul.
Bemærk: Kan ikke leveres før jul.
It tracks transaction costs to enable a scientific approach instead of a widely used “state-of-the-art” approach, working to bridge the gap between theory and practice.This open access book analyzes and describes “transactions” as a model...
Bemærk: Kan ikke leveres før jul.
This book mainly focuses on defining profit models, on how many main kinds of profit models there are, how profit models can change a company, and how to tailor a profit model to the needs of a certain company.
Bemærk: Kan ikke leveres før jul.
Offers an overview and discussion about the meaning of the financing of the companies. This book discusses the related challenges and provides ways to... Læs mere
Bemærk: Kan ikke leveres før jul.
Companies' decision-making and planning systems find themselves in a constant tug of war between strategic and financial... Læs mere
Bemærk: Kan ikke leveres før jul.
Managerial decisions are considerably influenced by taxes: e.g. It does not focus on details of tax law, but instead seeks to address students and practitioners focusing on corporate finance, accounting, investment banking and strategy consulting.
Bemærk: Kan ikke leveres før jul.
Risk and Cognition
Bemærk: Kan ikke leveres før jul.
It providesinsight into topics such as quantitative and traditional portfolioconstruction, performance clustering and incentives in the UK... Læs mere
Bemærk: Kan ikke leveres før jul.
This book investigates how businesses can adapt their executive and fiscal practices to adopt an ethical, equal-opportunity approach.
Bemærk: Kan ikke leveres før jul.
This volume, inspired by and dedicated to the work of pioneering investment analyst, Jack Treynor, addresses the issues of portfolio risk and return and how investment portfolios are measured.
Bemærk: Kan ikke leveres før jul.
It systematically explores a range of important risks, including interest rate risk, equity risk, commodity price risk, credit risk management, counterparty risk, operational risk, liquidity risk, market risk, derivative credit risk and country risk.