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  • MPI Ethno. Forsch.  (36)
  • Basingstoke [u.a.] : Palgrave Macmillan
  • Finance  (24)
  • History  (12)
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  • 1
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230300248
    Sprache: Englisch
    Seiten: XLII, 881 S.
    Ausgabe: Online-Ausg.
    Paralleltitel: Print version The International Handbook of Public Financial Management
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business enterprises Finance ; Management ; Investment banking ; Securities ; Risk management ; Macroeconomics ; Öffentlicher Sektor ; Finanzmanagement
    Kurzfassung: The International Handbook of Public Financial Management is a virtual encyclopedia of public financial management, written by topmost experts, many with a background in the IMF and World Bank. It provides the first comprehensive guide to the subject that has been published in more than ten years. The book is aimed at a broad audience of academics/students, government officials, development agencies and practitioners. It covers both bread-and-butter topics such as the macroeconomic and legal framework for budgeting, budget preparation and execution, procurement, accounting, reporting, audit and oversight, as well as specialist subjects such as government payroll systems, local government finance, fiscal transparency, the management of fiscal risks, sovereign wealth funds, the management of state-owned enterprises, and political economy aspects of budgeting. The book sets out numerous examples and case studies describing good practice in public financial management, and is highly relevant for use in both advanced and developing countries
    Kurzfassung: 〈EM〉The International Handbook of Public Financial Management〈/EM〉 is essential reading for governmental policy-makers, and practitioners and consultants working in this field, whose importance has been highlighted by the global financial crisis. It is a primary source for academics and students of economics, public finance, accountancy and public policy
    Beschreibung / Inhaltsverzeichnis: Cover; Title; Copyright; Contents; List of Figures; List of Tables; List of Boxes; Foreword; Acknowledgments; Notes on Contributors; Acronyms and Abbreviations; Introduction: The Meaning, Content and Objectives of Public Financial Management; Why this handbook is relevant and important; What is public financial management?; How has PFM evolved?; Key issues and themes of the volume; Structure of the book; Part I The Institutional and Legal Framework; Introduction to Part I; 1 The Macroeconomic Framework for Managing Public Finances; Fiscal policy and PFM
    Beschreibung / Inhaltsverzeichnis: The macroeconomic consequences of fiscal deficitsDebt sustainability; Fiscal targeting and adjustment; Countercyclical fiscal policy; Approaches to promoting fiscal discipline; Macrofiscal management and PFM; Conclusions; References; 2 Public Financial Management Requirements for Effective Implementation of Fiscal Rules; What are fiscal rules?; Objectives of fiscal rules; What PFM conditions are required for the effective implementation of fiscal rules?; Budget formulation consistent with fiscal rules; Robust budget execution, accounting and reporting; External scrutiny
    Beschreibung / Inhaltsverzeichnis: Enforcement and correction mechanismsSupranational fiscal rules; Main conclusions; References; 3 The Legal Framework for Public Finances and Budget Systems; Differing objectives for laws relating to the budget system; Cross-country differences in the legal context; Differing political arrangements; Budget authority of the legislature and responsibilities of the executive; Sound principles for a budget system law; What should be the scope and content of a budget system law?; The nature, types and duration of annual appropriations for spending; Budget execution and control
    Beschreibung / Inhaltsverzeichnis: Government accounts, reporting to the legislature and external auditFiscal responsibility laws and fiscal stability laws; Conclusions; References; 4 Designing Fiscal Institutions: The Political Economy of PFM Reforms; Theoretical perspectives; Potential trade-offs and pitfalls; The limits of institutional engineering; Conclusions; References; 5 The Role, Responsibilities, Structure and Evolution of Central Finance Agencies; Concept of CFAs; How did CFAs evolve over time?; Organizational structure of CFAs; Have CFAs become more or less concentrated?
    Beschreibung / Inhaltsverzeichnis: The fiscal impact of different CFA structuresHow can CFAs be strengthened?; References; 6 Role of the Legislature in Budget Processes; Constitutional and legal constraints on parliamentary budgeting; Critical dates for parliamentary involvement in the budget process; What should the legislature review and approve?; The provision of fiscal information to the legislature; What support does the legislature need for budgeting?; Developing capacity in the legislature for budgetary oversight; Conclusions; References
    Beschreibung / Inhaltsverzeichnis: 7 Assessing and Comparing the Quality of Public Financial Management Systems: Theory, History and Evidence
    Anmerkung: Description based upon print version of record
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  • 2
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    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137377029
    Sprache: Englisch
    Seiten: XIII, 225 S.
    Ausgabe: Online-Ausg. Springer eBook Collection. Humanities, Social Sciences and Law
    Serie: Science, Technology and Medicine in Modern History
    Schlagwort(e): History ; Great Britain History ; America History ; United States History ; Civilization History ; Social history
    Kurzfassung: This book is open access under a CC BY license. The narrative of 20th-century medicine is the conquering of acute infectious diseases and the rise in chronic, degenerative diseases. The history of fungal infections does not fit this picture. This book charts the path of fungal infections from the mid 19th century to the dawn of the 21st century
    Kurzfassung: Ringworm: A Disease of Schools and Schooling -- Athlete's Foot: A Disease of Fitness and Hygiene -- Candida: A Disease of Antibiotics -- Endemic Mycoses, Mycotoxins and Allergies: Diseases of Social Change -- Aspergillosis: A Disease of Medical Progress
    Anmerkung: Open Access
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  • 3
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    Sprache: Englisch
    Seiten: XIV, 234 S.
    Serie: Palgrave Macmillan studies in banking and financial institutions
    Paralleltitel: Print version Crisis, Risk and Stability in Financial Markets
    RVK:
    Schlagwort(e): Accounting ; Bookkeeping ; Business enterprises Finance ; Finance ; Banks and banking ; Investment banking ; Securities ; Macroeconomics ; Europa ; Kreditwesen ; Risikomanagement ; Regulierung ; Finanzkrise ; Aufsatzsammlung
    Kurzfassung: This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending
    Kurzfassung: This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending
    Beschreibung / Inhaltsverzeichnis: Cover; Title; Copyright; Contents; List of Illustrations; Notes on Contributors; Introduction; 1 Financial Stability and Economic Growth; 2 Financial Crisis and EU Banks' Performance; 3 Diversification, Diversity and Systemic Risk in European Banking; 4 Basel III, Pillar 2: The Role of Banks' Internal Control Systems; 5 Shadow Banking and Systemic Risk: In Search of Regulatory Solutions; 6 Social Lending in Europe: Structures, Regulation and Pricing Models; 7 Banks' Ratings, the Financial Crisis and Size of Entities; 8 Stock Exchange Mergers in the Aftermath of the Crisis: New Insights
    Beschreibung / Inhaltsverzeichnis: 9 Sustainability and Financial Inclusion in MicroinsuranceIndex
    Anmerkung: Description based upon print version of record
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  • 4
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    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230289963
    Sprache: Englisch
    Seiten: VII, 260 S.
    Ausgabe: Online-Ausg.
    Serie: Great thinkers in economics
    Paralleltitel: Print version David Ricardo
    Schlagwort(e): History ; Great Britain History ; Political economy ; Economic history ; Economic theory ; Economic policy
    Kurzfassung: This book offers a new account of David Ricardo's political economy that is both scholarly and accessible. It provides a detailed overview of the secondary literature on Ricardo down to 2012, and discusses alternative perspectives on his work, including those of Marxians, neoclassicals and Sraffians
    Kurzfassung: 〈p 〉This book offers a new account of David Ricardo's political economy that is both scholarly and accessible. It provides a detailed overview of the secondary literature on Ricardo down to 2012, and discusses alternative perspectives on his work, including those of Marxians, neoclassicals and Sraffians
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; Preface and Acknowledgements; 1 The Life and Times of David Ricardo; 1.1 The Importance of Ricardo; 1.2 Ricardo's Life; 1.3 Ricardo's England: The Economy; 1.4 Ricardo's England: Society and Politics; 2 Ricardo's Vision; 2.1 Philosophy, History, Society; 2.2 Ricardo's Method and Style; 2.3 Ricardo's Politics; 2.4 Ricardo's Works; Appendix: The Principles; 3 Value and Distribution; 3.1 Ricardo's Problem; 3.2 Profits and Rent; 3.3 Wages; 3.4 The Theory of Value; 4 International Trade; 4.1 The Theory of Comparative Advantage; 4.2 Ricardo on the Corn Laws
    Beschreibung / Inhaltsverzeichnis: 4.3 Ricardo and His Critics4.4 The Politics of Trade; 4.5 Ricardo's Trade Theory in the Twenty-first Century; 5 Ricardo's Macroeconomics; 5.1 Growth and the Stationary State; 5.2 'Say's Law'; 5.3 Money and Banking; 5.4 'On Machinery'; 6 Ricardo on Economic Policy; 6.1 Fiscal Policy; 6.2 Monetary Policy; 6.3 Social Policy, Labour and the Poor; 6.4 Ricardo, Laissez-faire and Classical Liberalism; 7 Editors and Critics; 7.1 The First two Generations: 1823-1870; 7.2 Ricardo and the 'Marginalist Revolution': 1870-1936; 7.3 Ricardo and the 'Keynesian Revolution': 1936-1975
    Beschreibung / Inhaltsverzeichnis: 7.4 Ricardo in the Age of Neoliberalism: After 19758 The Three Ricardos; 8.1 The Marxian Ricardo; 8.2 The Neoclassical Ricardo: From Marshall to Hollander; 8.3 Piero Sraffa's Ricardo; 8.4 Ricardo's Legacy; Notes; Bibliography; Name Index; Subject Index
    Anmerkung: Description based upon print version of record
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  • 5
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    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137264435
    Sprache: Englisch
    Seiten: ca. 600 S.
    Ausgabe: Online-Ausg.
    Serie: Global financial markets
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business enterprises Finance ; Investment banking ; Securities ; Economics ; Management science
    Kurzfassung: One-stop-guide to the hedge fund industry, investment and trading strategies adopted by hedge funds and the industry's regulation. For anyone with an interest in investing or managing funds, it presents everything practitioners need to know to understand these investment vehicles from their theoretical underpinnings, to how they work in practice
    Anmerkung: Includes bibliographical references and index
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  • 6
    ISBN: 9781137306708
    Sprache: Englisch
    Seiten: ca. 224 S.
    Ausgabe: Online-Ausg.
    Schlagwort(e): Finance ; Banks and banking ; Investment banking ; Securities ; Macroeconomics ; International economics ; Economic policy ; Economic history
    Kurzfassung: Using an inter-disciplinary and global approach this book examines the different roles gold played in the international economy from the late 19th century until today. It gives a complete and comprehensive overview of the many facets of the global gold market's organization from the extraction of this precious metal to its consumption
    Anmerkung: Includes bibliographical references and index
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  • 7
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    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137350626
    Sprache: Englisch
    Seiten: ca. 116 S.
    Ausgabe: Online-Ausg. 2013 Electronic reproduction; Available via World Wide Web
    Serie: Palgrave pivot
    Paralleltitel: Print version Intelligent Investing in Irrational Markets
    Schlagwort(e): Finance ; Business enterprises Finance ; Family-owned business enterprises ; Operations research ; Decision making ; Banks and banking ; Investment banking ; Securities ; Economics ; Kapitalanlage ; Portfoliomanagement ; Anlageverhalten
    Kurzfassung: As a game of economics, investing involves the basic principles of economics that help investors identify financial goals and constraints, and come up with the right asset and portfolio allocation. Mourdoukoutas outlines the rules for investing in irrational markets successfully
    Kurzfassung: As a game of economics, investing involves the basic principles of economics that help investors identify financial goals and constraints, and come up with the right asset and portfolio allocation. Mourdoukoutas outlines the rules for investing in irrational markets successfully
    Beschreibung / Inhaltsverzeichnis: Cover; Half title; Title; Copyright; Dedication; Contents; List of Tables; List of Figures; A Personal Story; Preface: Why AnotherInvestment Book; Acknowledgments; About the Author; Introduction: Emotions and Intelligence in Investing; 1 Rule 1: Don't Pay Others to Lose your Money; 2 Rule 2: Have a Financial Plan; 3 Rule 3: Know Which Assets to Buy and Sell; 4 Rule 4: Know Which Stocks to Buy and Sell; 5 Rule 5: Stay Focused; 6 Rule 6: Maintain an Intelligent State of Mind; Epilogue; Bibliography; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
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  • 8
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    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137273604
    Sprache: Englisch
    Seiten: XIII, 179 S.
    Ausgabe: Online-Ausg. 2013 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Understanding Investment Funds : Insights from Performance and Risk Analysis
    RVK:
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business enterprises Finance ; Banks and banking ; Investment banking ; Securities ; Risk management ; Economics ; Management science
    Kurzfassung: In light of recent financial crises, the role of investment funds is a recurring subject for discussion. Traditional methods must be adapted with the objective to strengthen scientific knowledge of investment funds. This book provides new insights, ideas and empirical evidence to improve tools and methods for fund performance analysis
    Beschreibung / Inhaltsverzeichnis: ""Cover""; ""Title""; ""Copyright""; ""Contents""; ""List of Figures""; ""List of Tables""; ""Acknowledgments""; ""Notes on Contributors""; ""Introduction""; ""Part I New Performance Measure Methodologies""; ""Is There a Link between Past Performance and Fund Failure?""; ""1.1 Introduction""; ""1.2 Data and variable construction""; ""1.2.1 Data""; ""1.2.2 Selection of relevant performance measures""; ""1.3 The link between fund performance and subsequent disappearance""; ""1.3.1 Global results""; ""1.3.2 Specific aspects of predictability""; ""1.4 Conclusion""
    Beschreibung / Inhaltsverzeichnis: ""The Fund Synthetic Index: An Alternative Benchmark for Mutual Funds""""2.1 Introduction""; ""2.2 Methodology and data""; ""2.2.1 Fund synthetic index construction""; ""2.2.2 Data""; ""2.3 Results""; ""2.3.1 A statistical comparison""; ""2.3.2 Value at Risk analysis""; ""2.3.3 Correlation issues""; ""2.4 Conclusion""; ""Hedge Funds Risk-adjusted Performance Evaluation: A Fuzzy Set Theory-Based Approach""; ""3.1 Introduction""; ""3.2 Theoretical background and definitions""; ""3.3 Possibilistic performance and application""; ""3.3.1 Definitions""; ""3.3.2 Empirical study""
    Beschreibung / Inhaltsverzeichnis: ""3.4 Concluding remarks""""Part II Advanced Risk Analyses and Modeling""; ""Hedge Funds Risk Measurement in the Presence of Persistence Phenomena""; ""4.1 Introduction""; ""4.2 Value at Risk framework""; ""4.2.1 VaR and financial markets""; ""4.2.2 The benchmark model: RiskMetrics""; ""4.2.3 The ARFIMA-FIAPARCH models""; ""4.3 Model performances""; ""4.3.1 Kupiec's test (1995)""; ""4.3.2 The Manganelli and Engle's test (2004)""; ""4.4 Data and return dynamics analysis""; ""4.4.1 Unit root and stationarity tests""; ""4.4.2 Testing for persistence""
    Beschreibung / Inhaltsverzeichnis: ""4.5 Double long memory estimation and prevision""""4.5.1 The ARFIMA-FIGARCH/FIAPARCH models""; ""4.5.2 Backtesting tests""; ""4.6 Conclusion""; ""Conditioned Higher-Moment Portfolio: Optimization Using Optimal Control""; ""5.1 Introduction""; ""5.2 Context""; ""5.2.1 The conditioned portfolio problem""; ""5.2.2 Portfolio optimization involving higher moments of returns""; ""5.2.3 Data""; ""5.3 Results""; ""5.3.1 Mean-kurtosis (MK) optimization""; ""5.3.2 Mean-variance-kurtosis (MVK) optimization""; ""5.3.3 Mean-variance-skewness-kurtosis (MVSK) optimization""; ""5.4 Conclusion""
    Beschreibung / Inhaltsverzeichnis: ""The Hazard-Adjusted Portfolio: A New Capital Allocation Scheme from an Extreme-Risk Management Perspective""""6.1 Introduction""; ""6.2 Inferring univariate and multivariate market stability""; ""6.2.1 Filtering for market stability""; ""6.2.2 Pure bivariate MSM""; ""6.2.3 BiMSM crisis indicators""; ""6.3 Multifractal effects in the fund universe""; ""6.3.1 Univariate multifractal effects""; ""6.3.2 Multivariate multifractal effects""; ""6.3.3 Multifractality between pairs of assets""; ""6.3.4 Dynamics of co-movementsthe structural decomposition of correlations""
    Beschreibung / Inhaltsverzeichnis: ""6.3.5 Detecting crises based on multifractal dynamics of volatility processes""
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
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  • 9
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    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137377029
    Sprache: Englisch
    Seiten: Online-Ressource (XIII, 225 p, online resource)
    Serie: Science, Technology and Medicine in Modern History
    Serie: SpringerLink
    Serie: Bücher
    Paralleltitel: Druckausg.
    Schlagwort(e): History ; History ; Great Britain History ; America History ; United States History ; Civilization History ; Social history ; Great Britain History ; America History ; United States History ; Civilization History ; Social history ; Science—History.
    Kurzfassung: This book is open access under a CC BY license. The narrative of 20th-century medicine is the conquering of acute infectious diseases and the rise in chronic, degenerative diseases. The history of fungal infections does not fit this picture. This book charts the path of fungal infections from the mid 19th century to the dawn of the 21st century.
    Anmerkung: Open Access
    URL: Volltext  (kostenfrei)
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  • 10
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    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230291447
    Sprache: Englisch
    Seiten: XX, 301 S. , graph. Darst.
    Ausgabe: Online-Ausg. 2011 Electronic reproduction; Available via World Wide Web
    Serie: Global financial markets
    Paralleltitel: Print version Private Company Valuation : How Credit Risk Reshaped Equity Markets and Corporate Finance Valuation Tools
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business enterprises Finance ; Investment banking ; Securities ; Risk management ; Capital market ; Development economics
    Kurzfassung: The recent crisis in financial markets has seen a gradual erosion of risk-free asset classes. In equity markets the credit risk has reached a critical level in valuation. Here a new cost of equity method for private companies is presented based on the pricing of junior subordinated notes. Global business cases are illustrated to support this
    Kurzfassung: The recent crisis in financial markets has seen a gradual erosion of risk-free asset classes. In equity markets the credit risk has reached a critical level in valuation. A new cost of equity method for Private Companies is presented based on the pricing of junior subordinated notes. Global business cases are illustrated to support this
    Beschreibung / Inhaltsverzeichnis: Cover; Half-Title; Title; Copyright; Dedication; Contents; List of Tables; List of Figures; Foreword by Sergio Ermotti; Acknowledgments; 1 Introduction; 1.1 How the financial markets are changed: where is "risk free"?; 1.2 How equity valuation methods are changing: the growing role of credit risk; 1.3 How this book is structured; 2 Private Companies' Equity Valuation Methods; 2.1 Equity value configurations; 2.2 Reliability of equity fair valuation methods; 2.3 Relative valuation and fundamentals-based valuation approaches; 2.4 Relative valuation approaches; 2.5 Earnings-based methods
    Beschreibung / Inhaltsverzeichnis: 2.6 Cashflow-based methods2.7 Stock-based methods; 2.8 Intangible assets valuation; 2.8.1 Human capital; 2.8.2 Commercial licences; 2.8.3 Order book; 2.8.4 Brand; 2.8.5 Customer portfolio and customer database; 2.8.6 Mineral exploration and research concessions; 2.9 Flow-stock methods; 2.10 Majority control premium and minority discount; 3 Cost of Equity for Private Companies: The Integrated Pricing Model; 3.1 Introduction; 3.2 Shareholder's expected loss; 3.2.1 The Floor Theorem; 3.2.2 The Cap Theorem; 3.2.3 The Combined Rule for the expected loss for the shareholder
    Beschreibung / Inhaltsverzeichnis: 3.3 Junior subordinated pricing model3.4 The relationship between the cost of equity and the credit rating: the Integrated Pricing Model (IPM); 3.4.1 CAPM for private companies; 3.4.2 Fixed income approach for private companies; 4 Integrated Pricing Model in USA; 4.1 RiskCalc USA; 4.1.1 Data description; 4.1.2 Model components; 4.1.3 Validation results; 4.1.4 Further model improvements; 4.2 Business case: Fashionbyte; 4.2.1 Introduction to Fashionbyte; 4.2.2 Business model and competitive advantage; 4.2.3 Equity valuation; 4.2.4 The new approach; 5 Integrated Pricing Model in Japan
    Beschreibung / Inhaltsverzeichnis: 5.1 RiskCalc Japan5.1.1 Data description; 5.1.2 Model components; 5.1.3 Validation results; 5.1.4 Further model improvements; 5.1.5 Conclusion; 5.2 Business case: Nippon Solar; 5.2.1 Introduction to Nippon Solar; 5.2.2 Business model and competitive advantages; 5.2.3 Equity valuation; 5.2.4 The new approach; 6 Integrated Pricing Model in China; 6.1 RiskCalc China; 6.1.1 Data description; 6.1.2 Model components; 6.1.3 Validation results; 6.2 Business case: Daijin; 6.2.1 Introduction to Daijin; 6.2.2 Business model and competitive advantages; 6.2.3 Equity valuation; 6.2.4 The new approach
    Beschreibung / Inhaltsverzeichnis: 7 Integrated Pricing Model in Russia7.1 RiskCalc Russia; 7.1.1 Unique features of the Russian market; 7.1.2 Data description; 7.1.3 Model components; 7.1.4 Validation results; 7.2 Business case: Ural Fashion; 7.2.1 Introduction to Ural Fashion; 7.2.2 Business Model and competitive advantage; 7.2.3 Equity valuation; 7.2.4 The new approach; 8 Integrated Pricing Model in India; 8.1 RiskCalc emerging markets; 8.1.1 Data description; 8.1.2 Model components; 8.1.3 Validation results; 8.1.4 Model calibration and the adjustment factor; 8.2 Business case: Rabbas; 8.2.1 Introduction to Rabbas
    Beschreibung / Inhaltsverzeichnis: 8.2.2 Business model and competitive advantage
    Anmerkung: Description based upon print version of record , Electronic reproduction; Available via World Wide Web
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  • 11
    Online-Ressource
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    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9781137268518 , 9781137268525
    Sprache: Englisch
    Seiten: XXIV, 227 S. , graph. Darst.
    Ausgabe: Online-Ausg. 2011 Electronic reproduction; Available via World Wide Web
    Serie: Applied quantitative finance
    Paralleltitel: Print version Discounting, LIBOR, CVA and Funding : Interest Rate and Credit Pricing
    Schlagwort(e): Business ; Accounting ; Bookkeeping ; Business enterprises Finance ; Operations research ; Decision making ; Business mathematics ; Finance ; Financial engineering ; Business ; Accounting ; Bookkeeping ; Business enterprises ; Operations research ; Finance ; Decision making ; Business mathematics ; Finance ; Financial engineering ; Business and Management ; Business Finance ; Operation Research/Decision Theory ; Accounting/Auditing ; Finance, general ; Business Mathematics ; Financial Engineering
    Kurzfassung: Providing the most up-to-date tools and techniques for pricing interest rate and credit products for the new financial world, this book discusses pricing and hedging, funding and regulation, and interpretation, as an essential resource for quantitatively minded practitioners and researchers in finance.
    Kurzfassung: Providing the most up-to-date tools and techniques for pricing interest rate and credit products for the new financial world, this book discusses pricing and hedging, funding and regulation, and interpretation, as an essential resource for quantitatively minded practitioners and researchers in finance
    Beschreibung / Inhaltsverzeichnis: Cover; Half-Title; Title; Copyright; Dedication; Contents; List of Tables; List of Figures; Preface; Acknowledgments; Disclaimer; 1 Back to the Basics; 1.1 Interest rates; 1.1.1 LIBOR; 1.1.2 Day count conventions; 1.1.3 Accrued interest and spot; 1.1.4 Zero rates and discounting; 1.2 Interest rate derivatives; 1.2.1 FRAs and swaps; 1.2.2 Caps, floors, and swaptions; 1.2.3 Basis swaps; 1.3 FX and cross-currency trades; 1.3.1 FX forwards; 1.3.2 Cross-currency swaps; 2 Bootstrapping of Zero Curves; 2.1 Money market rates; 2.2 Forward rates; 2.3 Swap rates; 2.4 Interpolation issues
    Beschreibung / Inhaltsverzeichnis: 3 A Plethora of Credit Spreads3.1 Introduction; 3.2 CDS spread; 3.2.1 Product description; 3.2.2 Bootstrapping hazard rates from CDS spreads; 3.2.3 Standard CDS contracts; 3.2.4 Floating recovery rates; 3.2.5 CDS spread risk; 3.3 Zero spread; 3.3.1 Zero spread risk; 3.4 I spread; 3.4.1 I spread risk; 3.5 Par asset swap spread; 3.5.1 Product description; 3.5.2 Inflation-linked asset swaps; 3.5.3 Implying par asset swap spreads in other currencies; 3.5.4 Bootstrapping hazard rates from asset swap spreads; 3.5.5 Par asset swap spread risk; 3.6 Risky floater spread
    Beschreibung / Inhaltsverzeichnis: 3.6.1 Risky floater spread risk3.7 Connections between spreads; 3.7.1 From bond prices to CDS spreads; 3.7.2 The asset swap - CDS basis; 4 Introduction to Basis Spreads; 4.1 Something is rotten in the state of pricing; 4.1.1 Forwards; 4.1.2 Basis swaps; 4.1.3 Overnight indexed swaps; 4.2 Origins; 4.2.1 Collateralization and fixings; 4.3 Modeling approaches; 4.3.1 Practicalities; 4.3.2 Simple approaches; 5 Local Discount Curves; 5.1 Basis swaps in one currency; 5.1.1 Standard tenor discount curve; 5.1.2 OIS discount curve; 5.2 Building the forward curve; 5.3 Example
    Beschreibung / Inhaltsverzeichnis: 5.4 Cross-currency basis swaps6 Global Discount Curve; 6.1 Curve construction; 6.2 Example; 6.3 Impact on hedge accounting; 7 Non-Linear Products; 7.1 Introduction; 7.2 Short rate; 7.2.1 FX analogy; 7.2.2 Discount + spread; 7.2.3 Extensions for smiles; 7.3 Tenor forward rate; 7.3.1 FX analogy; 7.3.2 Discount + spread; 7.4 Volatilities; 7.4.1 Cap and floor volatilities for non-standard tenors; 7.4.2 Swaption volatilities for non-standard tenors: first approach; 7.4.3 Swaption volatilities for non-standard tenors: new market approach; 8 CVA: Instrument Level; 8.1 Introduction; 8.1.1 Origins
    Beschreibung / Inhaltsverzeichnis: 8.1.2 Closeout8.2 Pricing by expectation; 8.2.1 CVA and DVA; 8.2.2 CVA, DVA, and FVA; 8.2.3 Critique; 8.3 Pricing by Hedging; 8.3.1 Feynman-Kac; 8.3.2 FVA; 8.3.3 CVA, DVA, and FVA; 8.3.4 Zero funding costs; 8.3.5 Critique; 8.4 Other Perspectives; 8.4.1 Conditions for trading; 8.4.2 P&L takeout; 9 CVA: Firm Level; 9.1 Introduction; 9.1.1 Regulation and interpretation; 9.1.2 Reports; 9.2 Balance sheet; 9.3 Asset-bank-counterparty model; 9.3.1 Intuition; 9.3.2 Effect of own-default on assets and liabilities; 9.3.3 ABC model; 9.3.4 Base case: all assets MtM, no collateral, no goodwill
    Beschreibung / Inhaltsverzeichnis: 9.3.5 Collateral
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
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  • 12
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    Dazugehörige Bände/Artikel
    ISBN: 9780230362215 , 0230362214
    Sprache: Englisch
    Seiten: XII, 324 S. , graph. Darst. , 23 cm
    Ausgabe: 1. publ.
    Suppl.: Rezensiert in Vocelka, Karl, 1947 - Rezension von Guido Alfani: Vincent Gourdon (ed.) Spiritual Kinship in Europe 2013
    Paralleltitel: Online-Ausg. Spiritual kinship in Europe, 1500 - 1900
    DDC: 274
    RVK:
    Schlagwort(e): Sponsors History ; Kinship Religious aspects ; Christianity ; Kinship History ; Christianity Social aspects ; History ; Kinship ; Religious aspects ; Christianity ; History ; Kinship ; Europe ; History ; Church history ; Modern period, 1500- ; Europe ; Church history ; Aufsatzsammlung ; Europa ; Christentum ; Taufe ; Patenschaft ; Seelenverwandtschaft ; Geschichte 1500-1900
    Beschreibung / Inhaltsverzeichnis: Includes bibliographical references and index
    URL: Cover
    URL: Cover
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  • 13
    ISBN: 9780230308411 , 9780230294721 , 0230294723 , 0230308414
    Sprache: Englisch
    Seiten: XIII, 294 S. , Ill., Kt. , 24 cm
    Ausgabe: 1. publ.
    Serie: Cambridge imperial and post-colonial studies series
    DDC: 321/.03
    RVK:
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    Schlagwort(e): Imperialism History ; Imperialism Historiography ; Imperialism ; History ; Aufsatzsammlung ; Imperialismus ; Geschichte
    URL: Cover
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  • 14
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230248731 , 023024873X
    Sprache: Englisch
    Seiten: XV, 478 S. , Ill., Kt. , 24 cm
    Serie: Britain and the world
    DDC: 909.0971241
    RVK:
    Schlagwort(e): Decolonization ; Great Britain ; Colonies ; History ; 20th century ; Great Britain ; Colonies ; History ; 20th century ; Great Britain ; Foreign relations ; 20th century ; Decolonization--Great Britain--Colonies--History--20th century. ; Great Britain--Colonies--History--20th century. ; Great Britain--Foreign relations--20th century. ; Großbritannien ; Kolonie ; Kolonialismus ; Entkolonialisierung ; Geschichte 1945-1957 ; Großbritannien ; Kolonie ; Kolonialismus ; Entkolonialisierung ; Geschichte 1945-1957
    Anmerkung: Literaturverz. S. 446 - 457
    URL: Cover
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  • 15
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 023021214X , 0230212131 , 9780230212145 , 9780230212138
    Sprache: Englisch
    Seiten: XXXI, 536 S. , Ill., Kt. , 24 cm
    Ausgabe: 1. publ.
    DDC: 959
    RVK:
    Schlagwort(e): Southeast Asia History ; Southeast Asia ; History ; Südostasien ; Geschichte
    Kurzfassung: A new, comprehensive, one volume history of Southeast Asia that spans prehistory to the present. Ricklefs brings together colleagues at the National University of Singapore whose expertise covers the entire region, encompassing political, social, economic, religious, and cultural history. Opening with an account of the ethnic groups and initial cultural and social structures of Southeast Asia, the book moves through the early 'classical' states, the arrival of new global religions, and the impact of non-indigenous actors. The history of early modern states and their colonial successors is followed by analysis of World War II across the region. Offering a definitive account of decolonization and early post-colonial nation-building, the text then transports us to modern-day Southeast Asia, exploring its place in a world recovering from the financial crisis. The distinguished author team provide an authoritative and accessible narrative, drawing upon the latest research and offering detailed guidance on further reading. A landmark contribution to the field, this is an essential text for scholars, students, and anyone interested in Southeast Asia. --Back Cover
    Kurzfassung: A new, comprehensive, one volume history of Southeast Asia that spans prehistory to the present. Ricklefs brings together colleagues at the National University of Singapore whose expertise covers the entire region, encompassing political, social, economic, religious, and cultural history. -- Back Cover
    Kurzfassung: Opening with an account of the ethnic groups and initial cultural and social structures of Southeast Asia, the book moves through the early 'classical' states, the arrival of new global religions, and the impact of non-indigenous actors. The history of early modern states and their colonial successors is followed by analysis of World War II across the region. Offering a definitive account of decolonization and early post-colonial nation-building, the text then transports us to modern-day Southeast Asia, exploring its place in a world recovering from the financial crisis. -- Back Cover
    Kurzfassung: The distinguished author team provide an authoritative and accessible narrative, drawing upon the latest research and offering detailed guidance on further reading. A landmark contribution to the field, this is an essential text for scholars, students, and anyone interested in Southeast Asia. --Back Cover
    Beschreibung / Inhaltsverzeichnis: Ethnic groups, early cultures and social structures -- Early state formation -- 'Classical' states at their height -- New global religions and ideas from the thirteenth century -- The rise of new states from the fourteenth century -- Non-indigenous actors old and new -- Early modern Southeast Asian states -- Colonial communities, c.1800-1900 -- Reform, new ideas and the 1930s crisis (c.1900-42) -- World War II in Southeast Asia (1942-1945) -- Regaining independence in the decades after 1945 -- Building nations, to c.1990 -- Boom and bust in Southeast Asia c.1990-2008 -- Southeast Asia today.
    Anmerkung: Includes bibliographical references and index
    URL: Cover
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  • 16
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230203132 , 0230578098 , 9780230203136 , 9780230578098
    Sprache: Englisch
    Seiten: XIII, 246 S. , graph. Darst
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Successes of the International Monetary Fund : Untold Stories of Cooperation at Work
    RVK:
    Schlagwort(e): Accounting ; Bookkeeping ; Finance ; International economics ; Economic history ; Development economics ; Aufsatzsammlung ; Entwicklungsländer ; Internationaler Währungsfonds ; Finanzkrise
    Kurzfassung: 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
    Kurzfassung: 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
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Figures, Tables, and Boxes; Preface; Notes on Contributors; Acknowledgments; 1 Introduction; Part I: IMF Financial Help to Economies in Crisis; Part II: Preventing Financial Crises and Promoting Monetary Cooperation; Annex: How the IMF Operates; Notes; Index
    Anmerkung: Includes bibliographical references (p. 232-238) and index , Electronic reproduction; Available via World Wide Web
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  • 17
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 023020502X , 9780230205024
    Sprache: Englisch
    Seiten: XVI, 287 S. , graph. Darst , 23cm
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2011 Electronic reproduction; Available via World Wide Web
    Serie: Palgrave Macmillan studies in banking and financial institutions
    Schlagwort(e): Finance ; Banks and banking ; Economics ; Management science ; Europäische Union ; Finanzwirtschaft ; Aufsatzsammlung ; Finanzdienstleistung ; Finanzinnovation ; Internationaler Kreditmarkt
    Kurzfassung: Literaturangaben
    Anmerkung: Includes bibliographical references and indexes , Electronic reproduction; Available via World Wide Web
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  • 18
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230222188 , 9780230222182
    Sprache: Englisch
    Seiten: X, 252 S. , graph. Darst
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Global Financial Meltdown : How We Can Avoid the Next Economic Crisis
    RVK:
    RVK:
    RVK:
    RVK:
    RVK:
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business ; Macroeconomics ; Finanzkrise ; Geschichte 2007-2008 ; Kreditmarkt ; Internationalisierung ; Regulierung
    Kurzfassung: In easy to understand terms and journalistic style, Read describes the reasons for global financial unrest arising from the sub-prime mortgage crisis and economic meltdowns. He walks the reader through a number of topics in economics and connects these topics to real world financial problems concluding with recommendations for the future
    Kurzfassung: In easy to understand terms and journalistic style, Read describes the reasons for global financial unrest arising from the sub-prime mortgage crisis and economic meltdowns. He walks the reader through a number of topics in economics and connects these topics to real world financial problems concluding with recommendations for the future
    Beschreibung / Inhaltsverzeichnis: SECTION I: EVOLUTION OF THE MODERN ECONOMIC SYSTEMSECTION II: CREATION OF THE CONSUMER-INVESTOR -- SECTION III: AN EMERGING NEW WORLD -- SECTION IV: BANKS AND CENTRAL BANKING -- SECTION V: FINANCIAL FAILURES -- SECTION VI: POLITICS AND PERCEPTIONS.
    Anmerkung: Includes bibliographical references (p. 245-248) and index , Electronic reproduction; Available via World Wide Web
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  • 19
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230224423 , 9780230224421
    Sprache: Englisch
    Seiten: X, 311 S. , graph. Darst
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Cost Systems Design
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Management ; Computers ; Economics ; Management science ; Design ; Kostenrechnung ; Unternehmen
    Kurzfassung: Literaturverz. S. 307 - 308
    Kurzfassung: Starting from the economic modelling of the organization, this innovative book proposes a mapping of all types (conventional and ABC) of cost systems currently in use. Design and relevance are formalized using a short list of parameters. The theoretical proposition is illustrated, through 19 systems built on a unique database
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Figures; List of Tables; Acknowledgements; Introduction; Part I: Theoretical Approach; Part II: Presentation of the Cost Systems Families; Bibliography; Index
    Anmerkung: Includes bibliographical references (p. 307-308) and index , Electronic reproduction; Available via World Wide Web
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  • 20
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230245785 , 9780230580497 , 9781282742741
    Sprache: Englisch
    Seiten: Online-Ressource (xxi, 242 p.)
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Currency Internationalization : Global Experiences and Implications for the Renminbi
    RVK:
    Schlagwort(e): Business ; Accounting ; Bookkeeping ; Finance ; Banks and banking ; Macroeconomics ; International economics ; Aufsatzsammlung ; Währungspolitik ; China
    Kurzfassung: This is the first book to collect academic studies examining issues related to the potential internationalization of the Renminbi. It considers policy implications, documents the rising regional importance of the Renminbi and discusses key issues in the increasing use of the Renminbi in international trade and finance.
    Kurzfassung: This is the first book to collect academic studies examining issues related to the potential internationalization of the Renminbi. It considers policy implications, documents the rising regional importance of the Renminbi and discusses key issues in the increasing use of the Renminbi in international trade and finance
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Figures; List of Tables; List of Boxes; Foreword; Notes on Contributors; Part I: International Experiences; 1 Global Roles of Currencies; 2 External Use of the South African Rand; 3 Internationalizing the Australian Dollar; 4 Foreign Exchange Liberalization and Its Implications: The case of the Korean Won; Part II: Issues on International Use of the Renminbi; 5 The Potential of the Renminbi as an International Currency; 6 Pros and Cons of International Use of the RMB for China; 7 RMB Internationalization: Empirical and Policy Analysis
    Beschreibung / Inhaltsverzeichnis: 8 Effects of RMB Internationalization on China's Finance Industry9 Internationalization of the Renminbi and Its Implications for Monetary Policy; 10 Impact of the Renminbi Exchange Rate on Asian Currencies; Index; A; B; C; D; E; F; G; H; I; J; K; L; M; N; O; P; R; S; T; U; W; X; Y; Z
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
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  • 21
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230239036 , 9780230251250
    Sprache: Englisch
    Seiten: Online-Ressource (xiv, 272 p)
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Regulation of Banks and Finance : Theory and Policy after the Credit Crisis
    RVK:
    Schlagwort(e): Banks and banking State supervision ; Finance ; Macroeconomics ; International economics ; Finance ; Banks and banking ; Macroeconomics ; International economics ; Economics ; Macroeconomics/Monetary Economics//Financial Economics ; International Economics ; Banking ; Finance, general ; Bank ; Kreditmarkt ; Finanzkrise ; Regulierung
    Kurzfassung: As the financial crisis engulfs the world economy, there is an ambitous agenda for regulatory reform. This book provides a comprehensive review of the analysis of finance, economics and the law and economics, illuminating past and current banking and financial regulation designed to prevent another credit/dollar crisis and global recession
    Kurzfassung: As the financial crisis engulfs the world economy, there is an ambitous agenda for regulatory reform. This book provides a comprehensive review of the analysis of finance, economics and the law and economics, illuminating past and current banking and financial regulation designed to prevent another credit/dollar crisis and global recession
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Illustrations; List of Abbreviations; Acknowledgments; Introduction: Scope and Contents; 1 The Theory of Regulation and Finance; 2 Functions and Regulation of Deposit Banks; 3 Deposit Bank Market Power and Central Banking; 4 Investment Banking, Governance, Mergers, and Compensation; 5 Securities Regulation; 6 The Credit/Dollar Crisis and Recession Regulation; Conclusion; Notes; References; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 22
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230207103 , 9780230207103
    Sprache: Englisch
    Seiten: VIII, 309 S.
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Private Equity Finance : Rise and Repercussions
    Schlagwort(e): Business ; Accounting ; Bookkeeping ; New business enterprises ; Management ; Finance ; Corporations Finance ; Macroeconomics
    Kurzfassung: Literaturverz. S. 290 - 302
    Kurzfassung: This book traces the historical rise of private equity finance in the US and UK over the last 40 years. It shows how this new industry has grown as credit markets have grown. It is clearly explained for the non-expert how financial gearing works in a leveraged buyout
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; Acknowledgements; List of Acronyms; Introduction; Chapter 1 The Emergence of Private Equity Finance in the US: Leveraged Buyouts, Institutional Investment, Junk Bonds and the Thrifts; Chapter 2 Constraints on the Growth of Private Equity Finance: The Emergence of Private Equity Finance in the UK and its Recovery in the US; Chapter 3 The Expansion of Private Equity Finance in the UK in the Late 1990s and the US Context of the Collapse of the dot.com Boom; Chapter 4 Private Equity Finance in the Twenty First Century: Liquidity and the Credit Crunch
    Beschreibung / Inhaltsverzeichnis: Chapter 5 The Role of Fees and Gearing in Leveraged BuyoutsChapter 6 Theories of Leveraged Buyouts and Theories of Market Instability; Chapter 7 The Empirical Arguments for Specific Benefits of Private Equity: Returns to Investors, Employment, and Tax; Chapter 8 Alliance Boots as an Illustration of the Dynamics of Private Equity: Issues of Entitlement, Governance and the Values of Value; Conclusion; Notes; Bibliography; Index
    Anmerkung: Includes bibliographical references (p. 290-302) and index , Electronic reproduction; Available via World Wide Web
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  • 23
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230243323
    Sprache: Englisch
    Seiten: Online-Ressource (VIII, 213 p, online resource)
    Serie: Palgrave Macmillan Finance and Capital Markets Series
    Serie: SpringerLink
    Serie: Bücher
    Serie: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Paralleltitel: Erscheint auch als
    RVK:
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Leadership ; Banks and banking ; Risk management ; Macroeconomics ; Budgeting & financial management, bicssc ; Finance, bicssc ; Risk assessment, bicssc ; Business and Management, ukslc ; Budgeting & financial management, thema ; Finance, thema ; Risk assessment, thema ; Corporate finance, thema ; Finanzmanagement ; Risikomanagement ; Katastrophenmanagement ; Finanzkrise ; Bankenkrise ; Währungskrise ; Frühwarnsystem ; Risikomanagement
    Kurzfassung: The risk process commonly used in the corporate world to deal with risks may be suitable for non-catastrophic events, but not for extreme events. By analyzing a series of past disasters and the relevant 'lessons learned', this books proposes a series of prescriptive measures to cope with future disasters
    URL: Volltext  (lizenzpflichtig)
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  • 24
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230228467 , 9780230250864 , 9781282556881
    Sprache: Englisch
    Seiten: Online-Ressource (xi, 249 p.)
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version The Fear Factor : What Happens When Fear Grips Wall Street
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Business enterprises Finance ; Investment banking ; Securities ; Risk management ; Macroeconomics ; International economics ; Finance ; Accounting ; Bookkeeping ; Business enterprises ; Investment banking ; Securities ; Risk management ; Macroeconomics ; International economics ; Risk Management ; Business Finance ; Investments and Securities ; International Economics ; Macroeconomics/Monetary Economics//Financial Economics ; Accounting/Auditing ; Kreditmarkt ; Kapitalmarkt ; Volatilität ; Risikoverhalten ; Angst ; Finanzkrise ; Regulierung ; Transparenz ; Soziale Verantwortung
    Kurzfassung: A fascinating discussion of the role played by fear in financial market panics. Professor Read demonstrates, in easy-to-understand terms, that rising market fear portends to major financial declines. He explains the science and the economics of fear and shows that the financial market has learned how to capitalize on investor or economic fear
    Kurzfassung: "The science behind and economic consequences of fear are explained by demonstrating how fear can drive markets to disastrous lows and how the financial industry profits most when fear and volatility are highest. The reader is offered recommendations that can resolve market fears and bolster world economies"--Provided by publisher
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Figures; Preface; About the Author; Introduction; Part I: The Nature of Risk; Part II: The Supply and Demand of Loanable Funds; Part III: Measurement of Risk; Part IV: The Problems with Risk; Part V: Risk and the Market; Part VI: A History of Panics; Part VII: Coordination Failures; Part VIII: Social Responsibility as an Antidote to Fear; Part IX: Institutions That Ameliorate or Amplify Fear; Part X: Solutions to an Economic Quagmire; Conclusions; Notes; Glossary; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
    URL: Volltext  (Deutschlandweit zugänglich)
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  • 25
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 9780230235304 , 9780230251069 , 9781282743113
    Sprache: Englisch
    Seiten: Online-Ressource (xxiii, 313 p.)
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Serie: Palgrave Macmillan studies in banking and financial institutions
    Paralleltitel: Print version Globalization and the Reform of the International Banking and Monetary System
    RVK:
    Schlagwort(e): Finance ; Banks and banking ; Risk management ; International relations ; Macroeconomics ; Economic policy ; Sociology ; Finance ; Banks and banking ; Risk management ; International relations ; Macroeconomics ; Economic policy ; Sociology ; Finance ; Risk Management ; International Relations ; Economic Policy ; Banking ; Macroeconomics/Monetary Economics//Financial Economics ; Sociology, general ; Aufsatzsammlung ; Internationales Währungssystem ; Internationaler Kreditmarkt
    Kurzfassung: 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
    Kurzfassung: "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"--Provided by publisher
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Illustrations; Acknowledgements; Notes on Contributors; Introduction; 1 From "Global Finance" to the Crisis of Globalization; 2 An Agenda for the Reform of the International Monetary System; 3 The Global Financial Crisis, Central Banking and the Reform of the International Monetary and Financial System; 4 The Role of the IMF; 5 The Financial Landscape - Seen from a Converging Country; 6 International Institutional Reforms Between Economic Growth and Sustainable Development; 7 Impact of Corporate Governance on Financial Markets
    Beschreibung / Inhaltsverzeichnis: 8 Banks, Their Role, and Responsibility in the Crisis, Their Future9 Sovereign Wealth Funds: Strategies of Geo-Economic Power Projections; 10 The WTO's Doha Development Agenda: An Unclear Roadmap; 11 The Multilateral Trading System: Special and Differential Treatment for Developing Countries in the WTO; 12 Swiss Financial Self-Regulation Mechanisms in the Fight Against Money Laundering and Terrorist Financing; 13 An Epidemiologic Approach of Financial Markets; Bibliography; Index
    Anmerkung: Includes bibliographical references (p. 262-281) and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 26
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230576850 , 9780230250758 , 9780230576858 , 9781282556874
    Sprache: Englisch
    Seiten: Online-Ressource (xiii, 200 p.)
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Global Imbalances, Exchange Rates and Stabilization Policy
    RVK:
    Schlagwort(e): Finance ; Microeconomics ; Macroeconomics ; International economics ; Finance ; Microeconomics ; Macroeconomics ; International economics ; Economics ; Macroeconomics/Monetary Economics//Financial Economics ; International Economics ; Microeconomics ; Finance, general ; Weltwirtschaft ; Wirtschaftsentwicklung ; Wirtschaftspolitik ; Wechselkurs ; Globalisierung ; Globalisierung ; Wechselkurs ; Stabilisierung ; Geldpolitik ; Wirtschaftspolitik
    Kurzfassung: 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
    Kurzfassung: 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
    Beschreibung / Inhaltsverzeichnis: Contents ; List of Charts, Figures and Tables ; Preface and Acknowledgements ; 1 Introduction ; 2 The Global Economy and External Imbalances ; 3 Global Imbalances and Exchange Rates ; 4 External Imbalances and National Income ; 5 Capital Mobility and National Income ; 6 External Imbalances, Exchange Rates and Interest Rates ; 7 Money, Exchange Rates and the Balance of Payments ; 8 Macroeconomic Policy, Interest Rates and National Income ; 9 Monetary Policy and the Real Exchange Rate ; 10 Select Stabilization Policy Issues ; Epilogue ; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
    URL: Volltext  (Deutschlandweit zugänglich)
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  • 27
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 1282556908 , 9780230251021 , 9780230233461 , 9781282556904
    Sprache: Englisch
    Seiten: Online-Ressource (xvii, 264 p)
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2011 Electronic reproduction; Available via World Wide Web
    Serie: Palgrave Macmillan studies in banking and financial institutions
    Paralleltitel: Print version Capitalism Without Capital
    RVK:
    Schlagwort(e): Business ; Management science ; Leadership ; Finance ; Banks and banking ; Bank marketing ; Macroeconomics ; Business ; Management science ; Leadership ; Finance ; Banks and banking ; Bank marketing ; Macroeconomics ; Economics ; Macroeconomics/Monetary Economics//Financial Economics ; Finance, general ; Business and Management, general ; Business Strategy/Leadership ; Banking ; Financial Services ; Finanzkrise ; Geschichte 2008-2009
    Kurzfassung: 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
    Kurzfassung: 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
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Tables and Figures; Preface; Part One: Money; Part Two: Debt; Part Three: Case Studies; Epilog; Notes; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
    URL: Volltext  (Deutschlandweit zugänglich)
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  • 28
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230221084 , 9780230221086
    Sprache: Englisch
    Seiten: XIV, 190 S. , graph. Darst , 24 cm
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Serie: Palgrave Macmillan finance and capital markets series
    Paralleltitel: Print version Investor Relations : Principles and International Best Practices of Financial Communications
    RVK:
    RVK:
    Schlagwort(e): Corporations Investor relations ; Accounting ; Bookkeeping ; Marketing ; Finance ; Investment banking ; Securities ; Capital market ; Economics ; Management science ; Unternehmen ; Investor Relations ; Unternehmen ; Investor Relations
    Kurzfassung: This practical guide on the theory and practice of Investor Relations combines the art and science of marketing, financial analysis and financial communications in a single source. It offers expert advice and helpful tips to be used in real business life by corporate executives, financial analysts, students, and anyone competing for capital
    Kurzfassung: This practical guide on the theory and practice of Investor Relations combines the art and science of marketing, financial analysis and financial communications in a single source. It offers expert advice and helpful tips to be used in real business life by corporate executives, financial analysts, students, and anyone competing for capital
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Illustrations; Introduction; 1 Competing For Capital; 2 Seven Keys To Successful Investor Relations; 3 Implementing Best Practices in Investor Relations; 4 Measuring The Value Of Investor Relations; 5 Conclusion; Resources; Index
    Anmerkung: Includes index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 29
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230222218 , 9780230222212
    Sprache: Englisch
    Seiten: XVI, 210 S. , graph. Darst , 22cm
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2009 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Government Intervention in Globalization : Regulation, Trade and Devaluation Wars
    RVK:
    Schlagwort(e): Globalization Economic aspects ; Bookkeeping ; Finance ; Accounting ; Macroeconomics ; International economics ; Globalisierung ; Weltwirtschaft ; Wirtschaftsentwicklung ; Regulierung ; Internationale Organisation ; Internationales Wirtschaftsrecht
    Kurzfassung: This book provides institutional information and uses analytical tools to explains why governments should intervene in economies affected by globalization. With analysis of current country experiences and issues, this book is an essential read for all interested in the demands on economic policy in globalized age
    Kurzfassung: This book provides institutional information and uses analytical tools to explains why governments should intervene in economies affected by globalization. With analysis of current country experiences and issues, this book is an essential read for all interested in the demands on economic policy in globalized age
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Illustrations; List of Abbreviations; Acknowledgments; Introduction, Scope and Content; 1 The World Economy, Prosperity and Conflicts; 2 International Official Institutions; 3 Banks and Capital Markets; 4 Risk Management and World Trade, Investment and Finance; 5 The Theory of the State; 6 International Trade of Goods and Services; 7 Trade Agreements; 8 Poverty, the Environment and Climate Change; 9 Financial Globalization; 10 International Economic Law; 11 The Global Recession Risk; Conclusion; Notes; Name Index; Subject Index
    Anmerkung: Includes bibliographical references and indexes , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 30
    Online-Ressource
    Online-Ressource
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0230222668 , 9780230222663
    Sprache: Englisch
    Seiten: XIX, 268 S. , graph. Darst
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2010 Electronic reproduction; Available via World Wide Web
    Serie: Finance and capital markets
    Paralleltitel: Print version Quantification of Operational Risk under Basel II : The Good, Bad and Ugly
    RVK:
    Schlagwort(e): Finance ; Accounting ; Bookkeeping ; Corporations Finance ; Banks and banking ; Risk management ; Capital market ; Economics ; Management science ; Internationale Bank ; Risikomanagement ; Quantifizierung ; Basler Eigenkapitalvereinbarung 〈2001〉 ; Internationale Bank ; Risikomanagement ; Quantifizierung ; Basel Committee on Banking Supervision Basler Eigenkapitalvereinbarung 2004
    Kurzfassung: Literaturverz. S. 251 - 263
    Kurzfassung: The book presents arguments that are critical of the Basel II Accord, particularly the advanced measurement approach to operational risk. It is argued that the advanced measurement approach is not viable in terms of costs and benefits and is likely to distract financial institutions from the real task of managing operational risk
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Figures; List of Tables; Preface; List of Acronyms; 1 Preliminary Concepts and Issues; 2 From Basel I to Basel II: A Great Leap Forward?; 3 Operational Risk: Definition, Features and Classification; 4 The Advanced Measurement Approach to Operational Risk; 5 Theoretical and Empirical Studies of Operational Risk; 6 Monte Carlo Simulation: Description and Examples; 7 Operational Risk: Where Do We Stand?; References; Index
    Anmerkung: Includes bibliographical references (p. 251-263) and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 31
    ISBN: 0230205291 , 9780230205291
    Sprache: Englisch
    Seiten: XV, 227 S. , graph. Darst
    Ausgabe: 1. publ.
    Ausgabe: Online-Ausg. 2011 Electronic reproduction; Available via World Wide Web
    Paralleltitel: Print version Globalization and the State, 1 : International Institutions, Finance, the Theory of the State and International Trade
    RVK:
    Schlagwort(e): International business enterprises ; Globalization Economic aspects ; Finance ; International economics ; Globalisierung ; Internationale Organisation ; Internationale Finanzpolitik ; Internationale Wirtschaftspolitik ; Regulierung
    Kurzfassung: Literaturverz. S. 209 - 225
    Kurzfassung: The process of globalization is dynamic in the direction of increasing integration. The effects of economic events in one part of the world affect economic affairs in other parts of the world. This book focuses on the role of the state in IEFP and also explores how institutions and trade affect globalization
    Beschreibung / Inhaltsverzeichnis: Cover; Contents; List of Tables; List of Diagrams; List of Abbreviations; Acknowledgments; Introduction, Scope and Content; 1 Globalization, the World Economy and Growth; 2 The Official Institutions; 3 Private Institutions; 4 Risk Management, World Trade, Foreign Investment and Finance; 5 The Theory of the State; 6 International Exchange of Goods and Services; Conclusion; Notes; References; Index
    Anmerkung: Includes bibliographical references and index , Electronic reproduction; Available via World Wide Web
    URL: Volltext  (lizenzpflichtig)
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  • 32
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    Dazugehörige Bände/Artikel
    ISBN: 0333791819
    Sprache: Englisch
    Seiten: XI, 212 S. , Ill.
    Ausgabe: 1. publ.
    DDC: 325.34409041
    RVK:
    Schlagwort(e): Imperialism Social aspects ; Politics and culture History ; France ; Colonies in art ; Colonies in literature ; Public opinion France ; France Colonies ; History ; Aufsatzsammlung ; Bibliografie ; Frankreich ; Kolonialismus ; Kolonialliteratur ; Kunst ; Geschichte 1830-1940 ; Frankreich ; Kolonialismus ; Kolonialliteratur ; Kunst ; Geschichte 1830-1940
    Anmerkung: Includes bibliographical references and index , Formerly CIP
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 33
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0333920694 , 0333920708
    Sprache: Englisch
    Seiten: XII, 284 S. , überwiegend Ill. , 23 cm.
    Ausgabe: 1. publ.
    DDC: 026/.42
    RVK:
    Schlagwort(e): Public records History ; Government information History ; Public records History ; Government information History ; Public records England ; History ; Government information England ; History ; Public records Wales ; History ; Government information Wales ; History ; England ; Politik ; Informationsbeschaffung ; Soziale Kontrolle ; Geschichte 1500-2001
    Anmerkung: Includes bibliographical references and index
    URL: Cover
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 34
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 1403915717
    Sprache: Englisch
    Seiten: IX, 276 S.
    Ausgabe: 1. publ.
    DDC: 958.40841
    RVK:
    RVK:
    RVK:
    Schlagwort(e): Nationalism Asia, Central ; History ; 20th century ; Nationalism History 20th century ; Asia, Central Politics and government ; 20th century ; Asia, Central Ethnic relations ; Asia, Central Politics and government 20th century ; Asia, Central Ethnic relations ; Zentralasien ; Nationalstaat ; Nationenbildung ; Großmacht ; Ethnische Gruppe ; Geschichte 1900-2000 ; Mittelasien ; Mitgliedsstaaten ; Nationalismus ; Ethnische Identität ; Sowjetunion ; Mittelasien ; Nationalbewusstsein ; Ethnizität ; Nationalitätenpolitik ; Geschichte 1920-1940
    Anmerkung: Includes bibliographical references and index
    URL: Cover
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 35
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 0333921429
    Sprache: Englisch
    Seiten: IX, 233 S
    Ausgabe: 1. publ.
    DDC: 958.45
    RVK:
    RVK:
    RVK:
    Schlagwort(e): Russians History ; Russians Kazakstan ; History ; Kazakhstan History 20th century ; Kazakhstan Intellectual life 19th century ; Kazakhstan History 19th century ; Nationalism History ; Kazakhstan History ; 19th century ; Kazakhstan History ; 20th century ; Kazakstan Intellectual life ; 19th century ; Nationalism Kazakstan ; History ; Russland ; Kasachstan ; Nationalbewusstsein ; Kolonialismus ; Alaš ; Geistesgeschichte 1800-1920
    Anmerkung: Includes bibliographical references and index
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 36
    Buch
    Buch
    Basingstoke [u.a.] : Palgrave Macmillan
    ISBN: 031229431X
    Sprache: Englisch
    Seiten: XXII, 196 S , Ill., Kt , 22 cm
    Ausgabe: 1. publ.
    DDC: 968.9403
    RVK:
    Schlagwort(e): Zambia ; History ; 1953-1964 ; Zambia ; Colonial influence ; Western Province (Zambia) ; History ; 20th century ; Kalabo District (Zambia) ; History ; 20th century ; Sambia ; Entkolonialisierung ; Geschichte 1953-1964 ; Sambia ; Großbritannien ; Kolonialverwaltung ; Geschichte 1953-1964 ; Großbritannien ; Kolonialverwaltung ; Sambia ; Barotseland ; Geschichte 1950-1960
    Anmerkung: Includes bibliographical references (p. [171]-188) and index
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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