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  • MPI Ethno. Forsch.  (30)
  • GBV
  • London : Palgrave Macmillan  (30)
  • Finance  (30)
  • Economics  (30)
  • Philosophy
  • Romance Studies
Datasource
  • MPI Ethno. Forsch.  (30)
  • GBV
  • BSZ  (30)
Material
Language
Subjects(RVK)
  • 1
    ISBN: 9781137497253
    Language: English
    Pages: Online-Ressource (VII, 119 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Literature, Cultural and Media Studies
    Parallel Title: Druckausg.
    Parallel Title: Erscheint auch als Quattrociocchi, Bernardino Internal rating systems and the bank-firm relationship
    RVK:
    Keywords: Firmenkundengeschäft ; Kreditwürdigkeit ; Unternehmensnetzwerk ; Klassifikation ; Bewertung ; Science ; Finance ; Business enterprises Finance ; Corporations Finance ; Banks and banking ; Economics ; Management science ; Education. ; Bank ; Unternehmen ; Netzwerk ; Rating
    Abstract: This book provides the conceptual and operational tools for understanding the mechanisms for assigning a rating to a network of companies. In it, the author explores the rating systems of corporate networks and analyses the link between rating and an enterprise network
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  • 2
    ISBN: 9781137006769
    Language: English
    Pages: Online-Ressource (XV, 236 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Business ; Business and Management ; Accounting ; Bookkeeping ; Business enterprises Finance ; Management ; Finance ; Investment banking ; Securities ; Risk management ; Kreditrisiko ; Risikomanagement
    Abstract: Introducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management
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  • 3
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230274921
    Language: English
    Pages: Online-Ressource (VIII, 212 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    RVK:
    Keywords: Economics ; Finance ; Banks and banking ; Macroeconomics ; Economic policy
    Abstract: This sequel to the author's earlier well-received Euro On Trial, shows how European Monetary Union became a main engine of the global credit bubble and puts forward a set of remedies which would reduce the danger of further economic debacle emanating from serious flaws in the present policy-making framework of the European Central Bank.
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  • 4
    ISBN: 9780230239494
    Language: English
    Pages: Online-Ressource (XIII, 246 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als Successes of the International Monetary Fund
    RVK:
    RVK:
    Keywords: Internationaler Währungsfonds ; International Monetary Fund Developing countries ; Internationale Wirtschaftsbeziehungen ; Internationale Wirtschaftsorganisation ; Wirtschaftskrise ; Internationale Finanzhilfe ; Kooperation ; Südkorea ; Polen ; Türkei ; Tansania ; Brasilien ; Uruguay ; Economics ; Accounting ; Bookkeeping ; Finance ; International economics ; Economic history ; Development economics ; Financial crises Developing countries ; Prevention ; Economic assistance Developing countries ; Aufsatzsammlung ; Entwicklungsländer ; Internationaler Währungsfonds ; Finanzkrise
    Abstract: This book provides a definitive account of the recent history of the International Monetary Fund, and the successes it has enjoyed since it was founded. With fascinating contributions by current and former IMF staff members, this book offers a unique insight into the workings of the organization and explores how it has benefited many.
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  • 5
    ISBN: 9780230246850
    Language: English
    Pages: Online-Ressource (XXIV, 366 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: Palgrave Macmillan Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als McGill, Ross, 1955 - Investment withholding tax
    RVK:
    Keywords: Quellensteuer ; Doppelbesteuerung ; Außensteuerrecht ; Auslandsinvestition ; Unternehmensbesteuerung ; Finance ; Investments Taxation ; Withholding tax ; Portfolio management ; Accounting ; Bookkeeping ; Finance, Public ; Corporations Finance ; Benchmarking ; corporate governance ; Investment ; management ; marketing ; optimization ; performance ; regulation ; service ; strategic management ; trends
    Abstract: This book provides a clear and concise explanation of withholding tax and how to leverage best practice to generate improved investment performance. It gives practical guidance to financial service firms and investors to help them understand the issues involved, trends and practicalities of maximizing returns on investment
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations and Acronyms; Preface; Acknowledgements; About the Author; PART 1 ESSENTIALS; PART 2 PRACTICE; PART 3 TECHNOLOGY; PART 4 PERFORMANCE; PART 5 THE FUTURE; Conclusion; Appendix 1 Withholding Tax and Corporate Governance; Appendix 2 OECD Model Tax treaty (2008); Appendix 3 FISCO Second Report 2007; Appendix 4 Spanish Eurobond Relief at Source Procedure; Appendix 5 Important Notice; Further Reading; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations and Acronyms; Preface; Acknowledgements; About the Author; PART 1 ESSENTIALS; PART 2 PRACTICE; PART 3 TECHNOLOGY; PART 4 PERFORMANCE; PART 5 THE FUTURE; Conclusion; Appendix 1 Withholding Tax and Corporate Governance; Appendix 2 OECD Model Tax treaty (2008); Appendix 3 FISCO Second Report 2007; Appendix 4 Spanish Eurobond Relief at Source Procedure; Appendix 5 Important Notice; Further Reading; Index
    Note: Includes index
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  • 6
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230245402
    Language: English
    Pages: Online-Ressource (XIV, 199 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Finance ; Accounting ; Bookkeeping ; Organization ; Planning ; International business enterprises ; Banks and banking ; International economics
    Abstract: Provides a detailed analytical assessment of the merger and acquisition phenomenon in banking. It advances the prior literature focusing on some specific aspects that have been investigated by only limited previous analysis by assessing the effect produced by M&A transactions on bank efficiency and shareholder value.
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  • 7
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230251021
    Language: English
    Pages: Online-Ressource (XVII, 264 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Economics ; Business ; Management science ; Leadership ; Finance ; Banks and banking ; Bank marketing ; Macroeconomics
    Abstract: This book examines the banking crisis of July/August 2007 and its ensuing after-effects in 2008-2009: economic crisis, credit crunch, massive recapitalization of some banks and nationalization of other banks. The author offers his views on the factors which led to this global financial catastrophe and how it could have been avoided.
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  • 8
    ISBN: 9780230251069
    Language: English
    Pages: Online-Ressource (XXIII, 313 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Finance ; Banks and banking ; Risk management ; International relations ; Macroeconomics ; Economic policy ; Sociology ; Aufsatzsammlung
    Abstract: The book argues that a successful monetary and banking reform requires: a rollback of monetary nationalism and return to monetary internationalism; trust in the banking system with its basic functions restored; a balance between competition and solidarity in order to assure political and social acceptance of globalization.
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  • 9
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230250758
    Language: English
    Pages: Online-Ressource (XIII, 200 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Economics ; Finance ; Microeconomics ; Macroeconomics ; International economics
    Abstract: This book analyzes key international monetary issues from a macro-foundations perspective. It proposes novel frameworks to interpret macroeconomic and financial linkages for globally integrated economies, examining global imbalances, exchange rates, interest rates, international capital flows, inflation, foreign and public debt.
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  • 10
    ISBN: 9780230582064
    Language: English
    Pages: Online-Ressource (XIX, 217 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Business ; Business and Management ; Ethnology Middle East ; Business enterprises Finance ; Finance ; Banks and banking ; Economics ; Management science ; Bibliografie
    Abstract: In light of Turkey's EU bid and the successful IMF-led disinflation program, this book explores the evolution and performance of the Turkish banking sector. Analyzing the repercussions of overall economic structure, financial crises and political instability on its financial sector, it scrutinizes the prospects for the future of banking sectors.
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  • 11
    ISBN: 9780230584099
    Language: English
    Pages: Online-Ressource (XVIII, 277 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: Innovation ; Unternehmensfinanzierung ; Risikokapital ; Expertensystem ; Risikomanagement ; Economics ; Capitalism ; Finance ; Technological innovations Economic aspects ; Finance ; Political economy ; Industrial organization ; Macroeconomics ; Aufsatzsammlung ; Kapitalismus ; Finanzwirtschaft ; Technische Innovation ; Kapitalismus ; Finanzwirtschaft ; Technische Innovation
    Abstract: This book presents in its first part the financial determinants of innovation processes considered in a macro-economic perspective, which are limited by short-term constraints, and studies in its second part the linkages existing between the necessity to innovate in order to survive and the constant attention given to financial results
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Foreword; Acknowledgements; Notes on the Contributors; Introduction: How does Finance Condition Innovation Trajectories?; Part I: The Finance- and Knowledge-Based Economy; Part II: Innovation Trajectories and Profitability in Firms' Strategies; Index
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Foreword; Acknowledgements; Notes on the Contributors; Introduction: How does Finance Condition Innovation Trajectories?; Part I: The Finance- and Knowledge-Based Economy; Part II: Innovation Trajectories and Profitability in Firms' Strategies; Index
    Note: Includes bibliographical references and index
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  • 12
    ISBN: 9780230594074
    Language: English
    Pages: Online-Ressource (XIX, 294 p, online resource)
    Series Statement: Studies in Development Economics and Policy
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Entwicklungshilfe ; Entwicklungsfinanzierung ; Globalisierung ; Entwicklungsländer ; Economics ; Finance ; Economic development ; Economic assistance ; Political economy ; International economics ; Development economics ; Aufsatzsammlung ; Entwicklungsländer ; Entwicklungshilfe ; Wirtschaftsentwicklung ; Finanzierung ; Internationale Kapitalbewegung ; Entwicklungsländer ; Entwicklungshilfe ; Wirtschaftsentwicklung ; Finanzierung ; Internationale Kapitalbewegung
    Abstract: A positive chapter has begun in finance for poor countries. Yet progress remains tentative. This book looks at how to make international finance better serve the needs of poor countries and poor people. It contains contributions by economists and political scientists who have been at the centre of the international policy debate
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Acknowledgements; Notes on the Contributors; List of Abbreviations; 1 Development Finance in the Global Economy: The Road Ahead; 2 Foreign Aid Resurgent: New Spirit or Old Hangover?; 3 Multilateral Development Assistance: Good, Bad or Just Plain Ugly?; 4 Political Economy of Additional Development Finance; 5 Financing Global and Regional Public Goods through ODA: Analysis and Evidence from the OECD Creditor Reporting System; 6 Multi-Actor Global Funds: New Tools to Address Urgent Global Problems
    Description / Table of Contents: 7 The Transition from Official Aid to Private Capital Flows: Implications for a Developing Country8 The Millennium Challenge Account: Transforming US Foreign Assistance Policy?; 9 Debt Relief: The Development and Poverty Impact; 10 Remittances and Financial Inclusion in Development; Index
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Acknowledgements; Notes on the Contributors; List of Abbreviations; 1 Development Finance in the Global Economy: The Road Ahead; 2 Foreign Aid Resurgent: New Spirit or Old Hangover?; 3 Multilateral Development Assistance: Good, Bad or Just Plain Ugly?; 4 Political Economy of Additional Development Finance; 5 Financing Global and Regional Public Goods through ODA: Analysis and Evidence from the OECD Creditor Reporting System; 6 Multi-Actor Global Funds: New Tools to Address Urgent Global Problems
    Description / Table of Contents: 7 The Transition from Official Aid to Private Capital Flows: Implications for a Developing Country8 The Millennium Challenge Account: Transforming US Foreign Assistance Policy?; 9 Debt Relief: The Development and Poverty Impact; 10 Remittances and Financial Inclusion in Development; Index
    Note: "In association with the World Institute for Development Economics Research of the United Nations University (UNU-WIDER) , Includes bibliographical references and index
    URL: Volltext  (Deutschlandweit zugänglich)
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  • 13
    ISBN: 9780230227743
    Language: English
    Pages: Online-Ressource (X, 221 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: 1990-2006 ; Internationaler Finanzmarkt ; Finanzmarktregulierung ; Volkswirtschaft ; Entwicklung ; Schwellenländer ; Spatial economics ; Economics ; Finance ; Economic development ; Finance ; Macroeconomics ; Development economics ; Regional economics ; Konferenzschrift ; Entwicklungsländer ; Kapitalmarkt ; Liberalisierung ; Wirtschaftsentwicklung ; Entwicklungsländer ; Kapitalmarkt ; Liberalisierung ; Wirtschaftsentwicklung
    Abstract: This book discusses the relationship between financial liberalization, financial deepening and economic performance from both a theoretical and a policy perspective, comparing several 'big' emerging countries: Argentina, Brazil, China, India, Russia, South Africa and India, amongst others
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; List of Contributors; 1 Introduction; 2 Financial Liberalization and Domestic Policy Space: Theory and Practice with Reference to Latin America; 3 Capital Account Management or Laissez-faire of Capital Flows in Developing Countries; 4 Financial Liberalization, Exchange Rate Regime and Economic Performance in BRICs Countries; 5 The Liberalization of Capital Outflows in Brazil, India and South Africa since the early 1990s; 6 Financial Liberalization in Brazil and Argentina; 7 Capital Controls and Economic Development in China
    Description / Table of Contents: 8 De-regulated Finance and Impact on Corporate Investments: The Case of Industry and Labour in India9 Does Ownership Explain Bank M&A? The Case of Domestic Banks and Foreign Banks in Brazil; Index
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; List of Contributors; 1 Introduction; 2 Financial Liberalization and Domestic Policy Space: Theory and Practice with Reference to Latin America; 3 Capital Account Management or Laissez-faire of Capital Flows in Developing Countries; 4 Financial Liberalization, Exchange Rate Regime and Economic Performance in BRICs Countries; 5 The Liberalization of Capital Outflows in Brazil, India and South Africa since the early 1990s; 6 Financial Liberalization in Brazil and Argentina; 7 Capital Controls and Economic Development in China
    Description / Table of Contents: 8 De-regulated Finance and Impact on Corporate Investments: The Case of Industry and Labour in India9 Does Ownership Explain Bank M&A? The Case of Domestic Banks and Foreign Banks in Brazil; Index
    Note: Includes bibliographical references and index
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  • 14
    ISBN: 9780230582309
    Language: English
    Pages: Online-Ressource (XXV, 264 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Islamisches Finanzsystem ; Pakistan ; Business ; Business and Management ; Banks and banking, Pakistani ; Banks and banking Religious aspects ; Islam ; Banks and banking ; Business enterprises Finance ; Finance ; Banks and banking ; Pakistan ; Islamische Bank ; Geschichte 1977-2007 ; Pakistan ; Islamische Bank ; Geschichte 1977-2007 ; Pakistan ; Islamische Bank ; Geschichte 1977-2007
    Abstract: This book explores the theoretical and practical features of Islamic banking. Using Pakistan as a detailed illustration, the text discusses recent developments and future prospects, demonstrating the model underpinning interest-free banking. It assesses the practical success of interest-free banking at both individual banks and state level
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Foreword by Rodney Wilson; Foreword by Agil Natt; Preface and Acknowledgements; List of Abbreviations; Glossary of Arabic Words and Terms; 1 Introduction; 2 Islamic Economics: Divine Vision of Distributive Justice; 3 Islamic Banking and Finance Movement Worldwide: Performance and Prospects; 4 Conceptual Developments in Islamic Banking and Finance in Pakistan (1977-1980); 5 Islamic Banking and Finance Practice in Pakistan (1981-1991)
    Description / Table of Contents: 6 The 1991 Federal Shariat Court (FSC) Judgement on Riba (Interest) and Islamic Banking and Finance Practice in Pakistan7 Efforts to Revive Islamic Banking and Finance in Pakistan (1992-1998); 8 The Impact of the Supreme Court Judgements of 1999 and 2002 on Riba (Interest) on the IBF Movement in Pakistan (1999-2007); 9 The Causes of the Failure of Islamic Banking and Finance in Pakistan; 10 Summary and Conclusions; Notes; References; Appendices; Index
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Foreword by Rodney Wilson; Foreword by Agil Natt; Preface and Acknowledgements; List of Abbreviations; Glossary of Arabic Words and Terms; 1 Introduction; 2 Islamic Economics: Divine Vision of Distributive Justice; 3 Islamic Banking and Finance Movement Worldwide: Performance and Prospects; 4 Conceptual Developments in Islamic Banking and Finance in Pakistan (1977-1980); 5 Islamic Banking and Finance Practice in Pakistan (1981-1991)
    Description / Table of Contents: 6 The 1991 Federal Shariat Court (FSC) Judgement on Riba (Interest) and Islamic Banking and Finance Practice in Pakistan7 Efforts to Revive Islamic Banking and Finance in Pakistan (1992-1998); 8 The Impact of the Supreme Court Judgements of 1999 and 2002 on Riba (Interest) on the IBF Movement in Pakistan (1999-2007); 9 The Causes of the Failure of Islamic Banking and Finance in Pakistan; 10 Summary and Conclusions; Notes; References; Appendices; Index
    Note: Includes bibliographical references (p. 207-230) and index
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  • 15
    ISBN: 9780230228269
    Language: English
    Pages: Online-Ressource (XV, 219 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: 1992-2006 ; Finanzpolitik ; Europäischer Stabilitätsmechanismus ; Öffentliche Ausgaben ; Haushaltsdefizit ; Wirtschaftswachstum ; Geldpolitik ; Eurozone ; Economics ; Fiscal policy ; Accounting ; Bookkeeping ; Finance ; Welfare economics ; Macroeconomics ; International economics ; Konferenzschrift 2007 ; Europäische Union ; Währungsunion ; Fiskalföderalismus ; Fiskalpolitik ; Europäische Union ; Währungsunion ; Fiskalföderalismus ; Fiskalpolitik
    Abstract: This book provides a comprehensive analysis of national fiscal policies in the European Union and in the European Monetary Union. Adopting a critical perspective, the book offers a deep insight into the consequences of the current strategy of national fiscal policies on economic activity
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Notes on the Contributors; Introduction; 1 Fiscal Federalism in the European Union: How Far Are We?; 2 Is There Compatibility between the Stability and Growth Pact and Automatic Fiscal Stabilizers?; 3 Stabilization Capacity and Fiscal Policy in the EMU; 4 Fiscal Adjustment and Composition of Public Expenditures in the EMU; 5 Public Capital and Economic Growth: a Spurious Empirical Link?; 6 Has France Become a Deficit Running Country?; 7 How to Deal with Economic Divergences in the EMU?
    Description / Table of Contents: 8 A Scheme to Coordinate Monetary and Fiscal Policies in the Euro AreaIndex
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Notes on the Contributors; Introduction; 1 Fiscal Federalism in the European Union: How Far Are We?; 2 Is There Compatibility between the Stability and Growth Pact and Automatic Fiscal Stabilizers?; 3 Stabilization Capacity and Fiscal Policy in the EMU; 4 Fiscal Adjustment and Composition of Public Expenditures in the EMU; 5 Public Capital and Economic Growth: a Spurious Empirical Link?; 6 Has France Become a Deficit Running Country?; 7 How to Deal with Economic Divergences in the EMU?
    Description / Table of Contents: 8 A Scheme to Coordinate Monetary and Fiscal Policies in the Euro AreaIndex
    Note: Includes index
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  • 16
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230582507
    Language: English
    Pages: Online-Ressource (XVI, 208 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Bankmanagement ; Verbraucherkredit ; Produktmanagement ; Marktsegmentierung ; Marketingtheorie ; Finance ; Consumer credit Management ; Business enterprises Finance ; Finance, Public ; Banks and banking ; Risk management ; Kundenmanagement ; Konsumentenkredit ; Management ; Konsumentenkredit ; Konsumentenkredit
    Abstract: Consumer credit is an integral part of many western societies. This book provides a comprehensive view of how credit-granting institutions operate and discusses the relationship between the strategic objectives set by senior management and the operational strategies employed by credit professionals working at the coal face of credit provision
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Preface; Acknowledgements; 1 Consumer Credit Management: An Introduction; 2 Organizational Matters; 3 Marketing; 4 Predicting Consumer Behaviour; 5 Customer Acquisition; 6 Customer Management; 7 Collections (Early Stage Delinquency); 8 Debt Recovery (Late Stage Delinquency); 9 Fraud; 10 Provision, Capital Requirements and Basel II; Appendix A: Predictive Models of Consumer Behaviour; Appendix B: US and UK Legislation; Appendix C: Recommended Reading; Notes; Bibliography; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Preface; Acknowledgements; 1 Consumer Credit Management: An Introduction; 2 Organizational Matters; 3 Marketing; 4 Predicting Consumer Behaviour; 5 Customer Acquisition; 6 Customer Management; 7 Collections (Early Stage Delinquency); 8 Debt Recovery (Late Stage Delinquency); 9 Fraud; 10 Provision, Capital Requirements and Basel II; Appendix A: Predictive Models of Consumer Behaviour; Appendix B: US and UK Legislation; Appendix C: Recommended Reading; Notes; Bibliography; Index
    Note: Includes bibliographical references (p. 186-201) and index
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  • 17
    ISBN: 9780230590182
    Language: English
    Pages: Online-Ressource (XXI, 403 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: 1980-2005 ; Finanzmarkt ; Institutionelle Infrastruktur ; Finanzsystem ; Wirtschaftswachstum ; Volatilität ; Finanzmarktregulierung ; Schwellenländer ; Economics ; Macroeconomics ; Financial institutions ; Finance ; Political economy ; Macroeconomics ; International economics ; Development economics ; Regional economics ; Spatial economics ; Developing countries Economic policy ; Aufsatzsammlung ; Entwicklungsländer ; Wirtschaftspolitik ; Kreditwesen ; Makroökonomie ; Entwicklungsländer ; Wirtschaftspolitik ; Kreditwesen ; Makroökonomie
    Abstract: The deregulation of domestic financial markets and the capital account in developing countries has frequently been associated with financial turmoil and macro volatility. The book analyzes the experiences of several countries, drawing implications for building development-friendly domestic and international financial architectures
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Acknowledgements; Notes on Contributors; List of Abbreviations; 1 Macro Volatility and Financial Institutions; 2 A Countercyclical Framework for a Development-Friendly IFA; 3 Regional and Multilateral Efforts: Institution-Building; 4 Volatility: Prudential Regulation, Standards and Codes; 5 The Political Economy of Reforming Domestic Financial Architectures; 6 China; 7 Thailand; 8 Russia; 9 Argentina; 10 Brazil; 11 Chile; 12 South Africa; 13 Nigeria; References; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Acknowledgements; Notes on Contributors; List of Abbreviations; 1 Macro Volatility and Financial Institutions; 2 A Countercyclical Framework for a Development-Friendly IFA; 3 Regional and Multilateral Efforts: Institution-Building; 4 Volatility: Prudential Regulation, Standards and Codes; 5 The Political Economy of Reforming Domestic Financial Architectures; 6 China; 7 Thailand; 8 Russia; 9 Argentina; 10 Brazil; 11 Chile; 12 South Africa; 13 Nigeria; References; Index
    Note: Includes bibliographical references and index
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  • 18
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230592308
    Language: English
    Pages: Online-Ressource (XI, 190 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Minsky, Hyman P ; Finanzkrise ; Bankenkrise ; Internationaler Finanzmarkt ; Deregulierung ; Welt ; Business ; Business and Management ; Accounting ; Bookkeeping ; Finance ; International relations ; Internationaler Kreditmarkt ; Instabilität ; Wirtschaftskrise ; Bankenkrise ; Minsky, Hyman P. 1919-1996 ; Südostasien ; Wirtschaftskrise ; Bankenkrise ; Internationaler Kreditmarkt ; Instabilität ; Wirtschaftskrise ; Bankenkrise ; Minsky, Hyman P. 1919-1996 ; Südostasien ; Wirtschaftskrise ; Bankenkrise
    Abstract: Fragile Finance examines financial crisis in the era of global credit. Drawing on the work of Hyman Minsky, the book discusses the global financial system over the past decade, suggesting that financial fragility stems from an explosive combination of financial innovation, over-borrowing, and progressive illiquidity of financial structures
    Description / Table of Contents: Cover; Contents; Acknowledgments; List of Abbreviations; Introduction; 1 The Rise of Fragile Finance; 2 A Theory of Fragile Finance; 3 Keynesian and Heterodox Theories of Financial Crises; 4 Hyman Minsky and Fragile Finance; 5 Dilemmas and Paradoxes of Fragile Finance; 6 The East Asian Crisis: A Minskyan View; 7 Ponzi Capitalism Russian-style; 8 Ponzi Finance Goes Global; Conclusion; Bibliography; Name Index; Subject Index
    Description / Table of Contents: Cover; Contents; Acknowledgments; List of Abbreviations; Introduction; 1 The Rise of Fragile Finance; 2 A Theory of Fragile Finance; 3 Keynesian and Heterodox Theories of Financial Crises; 4 Hyman Minsky and Fragile Finance; 5 Dilemmas and Paradoxes of Fragile Finance; 6 The East Asian Crisis: A Minskyan View; 7 Ponzi Capitalism Russian-style; 8 Ponzi Finance Goes Global; Conclusion; Bibliography; Name Index; Subject Index
    Note: Includes bibliographical references (p. 156-178) and indexes
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  • 19
    ISBN: 9780230800762
    Language: English
    Pages: Online-Ressource (XI, 306 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Geldpolitik ; Makroökonomik ; Phillips-Kurve ; Taylor-Regel ; Kreditrisiko ; Finanzpolitik ; Währungsunion ; Keynesianismus ; Wechselkurspolitik ; Außenwirtschaftliches Gleichgewicht ; Eurozone ; Economics ; Monetary policy Congresses ; Macroeconomics Congresses ; Econometric models Congresses ; Finance ; Macroeconomics ; Konferenzschrift 2005 ; Geldpolitik ; Makroökonomie ; Ökonometrisches Modell
    Abstract: This book deals with the key aspects of developments in monetary economics and macroeconomics, such as the New Consensus Macroeconomics, and further ones such as money, credit and the business cycle. Adding to the analysis are developments that focus on issues for open and spatial macroeconomics
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Contributors; 1 Introduction; 2 Monetary Policy with Firms' Bank Dependence and Default Risk; 3 Assessing the New Keynesian Phillips Curves Under Competing Expectation Hypothesis; 4 The Taylor Rule and Financial Derivatives: The Case of Options; 5 Credit Risk Management: Rationing vs Credit Derivatives and Consequences for Financial Stability; 6 Animal Spirits, Confidence and Monetary Policy; 7 Asymmetries as Sources of Conflict in a Monetary Union
    Description / Table of Contents: 8 Alternative Fiscal Policy Rules and the Stabilization Problem in EMU: Theory and Simulations9 On the Minskyan Business Cycle; 10 Minsky's Vision and its Relationship with The General Theory; 11 Towards a Spatial Keynesian Economics; 12 Monetary Shocks and Real Exchange Rate Dynamics; 13 Macroeconomic Risk Evaluation of International Reserves in Venezuela; 14 World Bank Trade Models and the Doha Debate; 15 Technology, Capital Flows and the Balance of Payments Constraint in a Structuralist North-South Model; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Contributors; 1 Introduction; 2 Monetary Policy with Firms' Bank Dependence and Default Risk; 3 Assessing the New Keynesian Phillips Curves Under Competing Expectation Hypothesis; 4 The Taylor Rule and Financial Derivatives: The Case of Options; 5 Credit Risk Management: Rationing vs Credit Derivatives and Consequences for Financial Stability; 6 Animal Spirits, Confidence and Monetary Policy; 7 Asymmetries as Sources of Conflict in a Monetary Union
    Description / Table of Contents: 8 Alternative Fiscal Policy Rules and the Stabilization Problem in EMU: Theory and Simulations9 On the Minskyan Business Cycle; 10 Minsky's Vision and its Relationship with The General Theory; 11 Towards a Spatial Keynesian Economics; 12 Monetary Shocks and Real Exchange Rate Dynamics; 13 Macroeconomic Risk Evaluation of International Reserves in Venezuela; 14 World Bank Trade Models and the Doha Debate; 15 Technology, Capital Flows and the Balance of Payments Constraint in a Structuralist North-South Model; Index
    Note: Includes bibliographical references and index
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  • 20
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230591486
    Language: English
    Pages: Online-Ressource (XVIII, 255 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: Basler Akkord ; Risikomanagement ; Operationelles Risiko ; Bank ; Finance ; Financial risk management ; Operational risk ; Risk management ; Business enterprises Finance ; Risk management ; Risikomanagement ; Betriebsrisiko ; Finanzierung ; Operationelles Risiko ; Risikomanagement ; Basel Committee on Banking Supervision Basler Eigenkapitalvereinbarung 2004 ; Operationelles Risiko ; Risikomanagement ; Basel Committee on Banking Supervision Basler Eigenkapitalvereinbarung 2004
    Abstract: Written by an experienced academic and practitioner, Operational Risk Management fills a gap in the information available on the Basel 2 Accord and offers valuable insights into the nature of operational risk
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 The Science of Risk Management; 2 The Basel Committee, Basel I and Basel II; 3 The Pillars of the Basel II Accord; 4 The Concept of Operational Risk; 5 The Taxonomy of Operational Risk; 6 Modeling and Measuring Operational Risk: General Principles; 7 Modeling and Measuring Operational Risk: Implementing the AMA; 8 The Management of Operational Risk; 9 Summary and Conclusions; References; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 The Science of Risk Management; 2 The Basel Committee, Basel I and Basel II; 3 The Pillars of the Basel II Accord; 4 The Concept of Operational Risk; 5 The Taxonomy of Operational Risk; 6 Modeling and Measuring Operational Risk: General Principles; 7 Modeling and Measuring Operational Risk: Implementing the AMA; 8 The Management of Operational Risk; 9 Summary and Conclusions; References; Index
    Note: Includes bibliographical references and index
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  • 21
    ISBN: 9780230800779
    Language: English
    Pages: Online-Ressource (XVIII, 209 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Auslandsinvestition ; Karibischer Raum ; China ; Indien ; Business ; Business and Management ; Investments, Foreign ; Investments, Foreign ; Investments, Foreign ; International business enterprises ; International business enterprises ; International business enterprises ; Business enterprises Finance ; International business enterprises ; Finance ; International economics ; Development economics ; China ; Auslandsinvestition ; Indien ; Auslandsinvestition ; Karibik ; Auslandsinvestition ; China ; Auslandsinvestition ; Indien ; Auslandsinvestition ; Karibik ; Auslandsinvestition
    Abstract: This book takes a unique approach to analysing foreign capital flows. Using the neighbourhood model, it analyzes foreign capital inflows from the perspective of both the source and destination countries. Focusing on China, India and the Caribbean, it explores the direct and spillover effects of foreign capital on the destination countries' economy
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 2 FDI: Global Trends and Assessments; 3 Explaining FDI Inflows - an Alternate Approach; 4 Foreign Investment: China; 5 Foreign Investment: India; 6 Foreign Investment: The Caribbean; 7 Technology Transfer: Case Studies; 8 Summary and Conclusions; Notes; Bibliography; Name Index; Subject Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 2 FDI: Global Trends and Assessments; 3 Explaining FDI Inflows - an Alternate Approach; 4 Foreign Investment: China; 5 Foreign Investment: India; 6 Foreign Investment: The Caribbean; 7 Technology Transfer: Case Studies; 8 Summary and Conclusions; Notes; Bibliography; Name Index; Subject Index
    Note: Includes bibliographical references (p. 193-202) and indexes
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  • 22
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230625709
    Language: English
    Pages: Online-Ressource (XIX, 466 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Steuer ; Unternehmensbesteuerung ; Kaufkraftparität ; Inflation ; Wirtschaftsmodell ; Steuerwirkung ; Wohlfahrtsanalyse ; EU-Staaten ; Economics ; Taxation European Union countries ; Foreign exchange rates European Union countries ; Finance ; Macroeconomics ; International economics ; Europäische Union ; Europäisches Währungssystem ; Steuer ; Unternehmen ; Kaufkraftparität ; Inflation ; Wohlfahrtseffekt ; Europäische Union ; Europäisches Währungssystem ; Steuer ; Unternehmen ; Kaufkraftparität ; Inflation ; Wohlfahrtseffekt
    Abstract: This book looks at concerns in the EU about differences in company tax rates, exchange rate changes, and inflation differentials, building an analytical model which includes the finance decision of firms, particularly those decisions which have a strong tax component
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Acknowledgements; Chapter 1 Introduction; Chapter 2 The Basic Model; Chapter 3 A Formal Elaboration of the Basic Model; Chapter 4 Tax Distortions: One Financial Asset; Chapter 5 Tax Distortions: Shares and Bonds; Chapter 6 Real Exchange Rate Changes; Chapter 7 The Relevance for Europe; Chapter 8 Conclusions; References; Subject Index
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Acknowledgements; Chapter 1 Introduction; Chapter 2 The Basic Model; Chapter 3 A Formal Elaboration of the Basic Model; Chapter 4 Tax Distortions: One Financial Asset; Chapter 5 Tax Distortions: Shares and Bonds; Chapter 6 Real Exchange Rate Changes; Chapter 7 The Relevance for Europe; Chapter 8 Conclusions; References; Subject Index
    Note: Includes bibliographical references and index
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  • 23
    ISBN: 9780230523913
    Language: English
    Pages: Online-Ressource (XIV, 390 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: Bankinsolvenz ; Bankenaufsicht ; Kosten ; Bankenregulierung ; Westeuropa ; Finance ; Bank failures Government policy ; Banks and banking State supervision ; Banking law ; Intervention (Federal government) ; Banks and banking ; Commercial law ; Macroeconomics ; Financial services industry. ; Bankenaufsicht ; Rechtsvergleich ; Kongress
    Abstract: How to avoid taxpayers paying for bank failures and banking crises? This book provides a proposal and a critique by twelve independent experts. It is addressed particularly to the threat posed in Europe by having large international banks, a history of bailouts and limited means of resolving any future banking crises. It shows how political imperatives and legal constraints currently result in economic losses in many countries round the world
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Preface; Acknowledgements; Notes on the Contributors; Introduction; 1 An Overview of the Issues; 2 The New Approach to Orderly Bank Exit: Questions and Answers; 3 Disclosure as a Cure for Moral Hazard: Necessary but Insufficient; 4 The Incentive-Compatible Design of Deposit Insurance and Bank Failure Resolution: Concepts and Country Studies; 5 Small Countries, Large Multi-Country Banks: A Challenge to Supervisors - the Example of the Nordic-Baltic Area; 6 The Economic Impact of Insolvency Law; 7 Do Bank Exit Regimes Affect Banking Conditions?
    Description / Table of Contents: 8 A European Approach to Banking Crises9 Avoiding a Crisis: Lessons from the Danish Experience; 10 Learning Lessons and Implementing a New Approach to Bank Insolvency Resolution in Switzerland; 11 Bank Resolution Policy and the Organization of Bank Insolvency Proceedings: Critical Dilemmas; Appendix 1 The Proposed Approach to Bank Insolvency Legislation; Appendix 2 The Basel Committee Guidance on Weak Banks; References; Index; A; B; C; D; E; F; G; H; I; J; K; L; M; N; O; P; R; S; T; U; V; W; Y; Z
    Note: Includes bibliographical references and index
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  • 24
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403946041
    Language: English
    Pages: Online-Ressource (XIV, 538 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: Finance and Capital Markets
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Hedging ; Rohstoffderivat ; Derivat ; Energie ; Preis ; Risiko ; Finance ; Risk management ; Energy industries ; Commodity exchanges ; Hedging (Finance) ; Petroleum industry and trade ; Business enterprises Finance ; Banks and banking ; Risk management ; Financial risk management. ; Business enterprises ; Financial services industry. ; Glossar enthalten
    Abstract: Energy Price Risk was inspired by the success of the courses Tom James has been running in global energy and commodities trading and price risk management. It is the practitioner's guide to optimizing company performance using the correct price risk strategies and tools. Based on the author's extensive experience in the commodity derivatives industry, it comprehensively covers the full spectrum of the energy complex, including crude oil, petroleum products, natural gas, LPG/LNG and electricity. Using many worked examples, this book offers practical insights and solutions
    Description / Table of Contents: Cover; Contents; Foreword; Preface; CHAPTER 1 Risk Management; CHAPTER 2 Energy Derivatives Markets: On-Exchange and Off- Exchange; CHAPTER 3 Energy Futures Contracts; CHAPTER 4 OTC Energy and Related Derivative Markets; CHAPTER 5 Options … Trading and Hedging Application Strategies; CHAPTER 6 Energy Option Pricing … Which Models Are Used?; CHAPTER 7 Value At Risk and Stress Testing; CHAPTER 8 Questions to Ask When Establishing a Risk Management or Trading Program; CHAPTER 9 Management Controls; CHAPTER 10 An Eavesdropper's Guide to Hedging; CHAPTER 11 Operational Risk
    Description / Table of Contents: CHAPTER 12 Derivatives Contracts Application Listing and Some Hedging Scenario ExamplesCHAPTER 13 Risk Management Process and Policy Creation Guidelines; CHAPTER 14 Applied Technical Analysis in the Energy Markets; CHAPTER 15 After Enron … A Practical Guide to Credit Control and Risk Mitigation Methods; CHAPTER 16 Finance in Energy; CHAPTER 17 OTC Derivatives Legal Risk Control and Documentation; CHAPTER 18 International Accounting Standards for Derivatives; Glossary of Terms; APPENDIX 1 Example of a Risk Management Review of a Company Using Derivatives to Hedge Oil Requirement
    Description / Table of Contents: APPENDIX 2 The Main Energy Sector and Transportation Names/Credits Traded in the CDS Market (September 2002)APPENDIX 3 The ISDA Master Agreement; APPENDIX 4 Example Derivatives Trade Confirmation Under ISDA; Index;
    Note: Includes bibliographical references (p. 128-129) and index
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  • 25
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403914552
    Language: English
    Pages: Online-Ressource (XIII, 392 p, online resource)
    Edition: Third Edition
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Finance ; Business enterprises Finance ; Capital market ; Business enterprises ; Electronic books
    Abstract: Foreign Exchange in Practice , now in its 3rd edition, is the single reference to the forex market any financial practitioner needs to have. It explains the concepts involved in foreign exchange and their application to real-life situations. Numerous examples are given. The book was originally developed as a textbook for the Citibank Bourse Course, an intensive course available to clients and staff of Citibank to improve their mastery of these markets. Examples in this edition have been updated to reflect current rates and include the Euro rather than the former European national currencies. The 3rd edition contains a substantial amount of new content particularly with regard to financial mathematics, interest rate swaps, option pricing and applications of option derivatives and Value at Risk
    Description / Table of Contents: Cover; Contents; Preface; CHAPTER 1 Exchange Rates; CHAPTER 2 Interest Rates; CHAPTER 3 Cash Flows and Value Dates; CHAPTER 4 Yield Curves and Gapping in the Money Market; CHAPTER 5 Bid and Offer Rates; CHAPTER 6 Forward Exchange Rates; CHAPTER 7 Applications of Forward Exchange; CHAPTER 8 Swaps; CHAPTER 9 The FX Swaps Curve and Gapping in the Foreign Exchange Market; CHAPTER 10 Currency Options … Pricing; CHAPTER 11 Applications of Currency Options; CHAPTER 12 Option Derivatives; CHAPTER 13 Factors Affecting Exchange Rates; CHAPTER 14 Value at Risk; Solutions to Practice Problems
    Description / Table of Contents: Appendix: Cumulative Standard Normal DistributionGlossary of Terms; Index;
    Note: Description based upon print version of record
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  • 26
    ISBN: 9781403946034
    Language: English
    Pages: Online-Ressource (XXII, 362 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Internationale Finanzierung ; Arbitrage ; Zinsparität ; Hedging ; Währungsrisiko ; Business ; Business and Management ; Arbitrage ; Hedging (Finance) ; Speculation ; Investments ; Business enterprises Finance ; Investment banking ; Securities ; International economics ; Finance ; Business enterprises ; Financial services industry. ; International economic relations.
    Abstract: Cross-border transactions involve a variety of financial operations, including arbitrage, hedging, speculation, financing and investment. These inter-related operations give rise to foreign exchange exposure and affect the overall financial performance of multinational firms. The book aims to provide an integrated treatment of multinational financial operations, whilst taking into account some real world complexities such as bid/offer spreads, transaction costs, capital rationing, and market imperfections
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Currency Symbols; List of Abbreviations; Notation and Conventions; Preface; CHAPTER 1 Two-Currency, Three-Currency and Multi-Currency Arbitrage; CHAPTER 2 Covered and Uncovered Interest Arbitrage; CHAPTER 3 Other Kinds of Arbitrage and Some Extensions; CHAPTER 4 Hedging Exposure to Foreign Exchange Risk: The Basic Concepts; CHAPTER 5 Financial and Operational Hedging of Exposure to Foreign Exchange Risk; CHAPTER 6 Measuring the Hedge Ratio; CHAPTER 7 Speculation in the Spot and Currency Derivative Markets
    Description / Table of Contents: CHAPTER 8 Speculation: Generating Buy and Sell SignalsCHAPTER 9 International Short-Term Financing and Investment; CHAPTER 10 International Long-Term Financing, Capital Structure and the Cost of Capital; CHAPTER 11 International Long-Term Portfolio Investment; CHAPTER 12 Foreign Direct Investment; References; Index;
    Note: Includes bibliographical references (p. 341-356) and index
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  • 27
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403943804
    Language: English
    Pages: Online-Ressource (XVIII, 203 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Internationaler Finanzmarkt ; Kapitalmobilität ; Theorie ; Welt ; Finanzkrise ; Economics ; International finance ; Capital movements ; International economics ; Finance ; Macroeconomics ; International economic relations. ; Regulierung ; Internationaler Kreditmarkt
    Abstract: Sunanda Sen offers an analysis of the ongoing malaise in the world economy, which include the financial and real instability as well as economic recession and lack of development. Rejecting the explanations advanced by the orthodoxy, she deplores the retrograde steps in the interest of high finance. This calls for a change in policies, away from the contractionary monetarist devices and in the direction of demand expansion which will prove mutually beneficial for both advanced and developing countries
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Preface; Introduction; 1 International Capital Flows: Some Theoretical Insights; 2 The Evolving Pattern of International Capital Flows; 3 Pattern of Global Finance and the Real Economy; 4 Global Finance and Development; Notes; Index
    Note: Includes bibliographical references and index
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  • 28
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230629240
    Language: English
    Pages: Online-Ressource (XV, 248 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    Parallel Title: Print version Big Players and the Economic Theory of Expectations
    RVK:
    Keywords: Rationale Erwartung ; Erwartungsbildung ; Österreichische Schule ; Finanzmarkt ; Theorie ; Economics ; Stock price forecasting ; Economics History 20th century ; Rational expectations (Economic theory) ; Economic forecasting ; Money market Forecasting ; Business cycles ; Political economy ; Economic theory ; Finance ; Macroeconomics ; Econometrics. ; International economic relations. ; Bibliographie enthalten ; Wirtschaftstheorie ; Rationale Erwartung ; Großbetrieb
    Abstract: Investment and all other economic actions depend on 'subjective' expectations. The problem is how to construct a theory of expectations that assumes people interpret their situations in unpredictable ways. Building on the evolutionary economics of F.A.Hayek, Koppl gives us such a theory. This includes a theory of 'Big Players', demonstrating that discretionary policy interventions create ignorance and uncertainty. The volume uses innovative methods to address many vital problems in economic theory, and connects with many other schools of economics including New Institutional Economics, Constitutional Economics and Post Walsarian Economics
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Preface; Acknowledgments; Part I. Introduction; Part II. Methodology; Part III. Theory; Part IV. Applications; Coda; Appendixes; Notes; Bibliography; Name Index; Subject Index
    Note: Includes bibliographical references (p. 223-236) and indexes
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  • 29
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403905437
    Language: English
    Pages: Online-Ressource (XXVIII, 302 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: World Food Programme History ; 1943-2000 ; Nahrungsmittelhilfe ; Welt ; Social sciences ; Social Sciences ; Food relief International cooperation ; History ; Political economy ; Economic policy ; Finance ; Political science ; International organization ; International economic relations. ; Economic development. ; Bibliographie enthalten ; Welternährungsprogramm ; Geschichte 1963-2000 ; Nahrungsmittelhilfe ; Internationale Kooperation
    Abstract: This is the first history to be written of the World Food Programme (WFP), the food aid arm of the United Nations System. It tells the story of the antecedents and origins of WFP and growth from modest beginnings as a three-year experiment in 1963-65 to become the main source of international food aid for both disaster relief and development against the background of the evolution and development of food aid. This dual role has put WFP in the front line of the United Nations attack on poverty, hunger and food insecurity
    Description / Table of Contents: Cover; Contents; List of Figures and Tables; Foreword; Preface; Acknowledgements; Key Events; Notes on the Text; List of Abbreviations; 1 Introduction; 2 The Birth of WFP: One Man's Inspiration; 3 Antecedents: A Tale of Three Cities; 4 The Experimental Years: 1963-5; 5 Food for Development; 6 Emergency and Relief Operations; 7 Managing Food Aid Resources; 8 Constitutional Change: The Byzantine Vortex; 9 Reform and Renewal: Future Directions; Statistical Appendices; Notes; Bibliography; Dramatis Personae; Index;
    Note: Includes bibliographical references (p. 266-290) and index
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  • 30
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780333977439
    Language: English
    Pages: Online-Ressource (XXV, 275 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Bankenregulierung ; Bankenaufsicht ; Bankrecht ; Finanzdienstleistung ; International ; Welt ; Finance ; Banks and banking, International Law and legislation ; Banks and banking ; Risk management ; Financial services industry Law and legislation ; Financial risk management. ; Bankrecht ; Finanzdienstleistung ; Recht ; Bankenaufsicht ; Bankrecht ; Finanzdienstleistung ; Recht ; Bankenaufsicht
    Abstract: Written by a leading financial analyst, this new book provides a detailed overview of the new regulatory environment facing the financial industry. Whilst the 1980s and early 1990s focused on deregulation within the financial sector, today a key point of interest has become re-regulation - and in a global setting. The new rules of supervision stress transparency and market discipline, which has an impact on trading strategies and lending patterns as well as ways of managing assets and liabilities.Written for analysts, traders, technologists and managers of financial institutions, this book pro
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Foreword; Acknowledgements; Part One: The Regulation of Financial Institutions; Part Two: The Many Aspects of Bank Supervision; Part Three: The Capital Base of Financial Institutions; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Foreword; Acknowledgements; Part One: The Regulation of Financial Institutions; Part Two: The Many Aspects of Bank Supervision; Part Three: The Capital Base of Financial Institutions; Index
    Note: Includes bibliographical references and index
    URL: Volltext  (Deutschlandweit zugänglich)
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