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Corporate governance, financial markets and global convergence.   Publication : [S.l.] : Springer, 1997 . 336 p. ; , The papers in this volume were presented in Budapest at the 20th Colloquium of the Societe Universitaire Europeenne de Recherches Financieres (SUERF), arranged in association with the Robert Triffin-Szirak Foundation. Each paper deals with a different aspect of the characteristics of and trends in corporate governance. The three main topics are: + Corporate governance of financial institutions; + Corporate governance as exerted by financial institutions; + Financial instutions as participants in the transfer of corporate governance. The structure of financial markets and institutions has a significant impact on the ways in which the power to manage corporate resources is allocated. The relative roles of different types of owners and the legal framework within which they operate are currently in a state of flux throughout Europe. Financial integration in the European Union, the transition to open market economies in Central and Eastern Europe and privatization, have a profound effect on the behaviour and influence of different enterprises. This collection of papers demonstrates the range of aspects of corporate governance in a world characterized by rapid technological, political and institutional change which is currently concerning researchers and practitioners. The authors come from a wide number of countries and disciplines, and include people from leading banks and corporations, public officials and academics, providing different perspectives on corporate governance, financial markets and global convergence in eastern and western Europe. Their contributions will be of considerable interest to academics in the fields of finance and banking, monetary economics and macro-economics, and also to professionals in banks, securities houses, corporate treasuries, pension funds, consultancies, law firms, central banks and regulatory bodies. 25 cm. Date : 1997 Disponibilité : Exemplaires disponibles: La bibliothèque des Sciences Juridiques, Economiques et de Gestion (1),
Global capital and national institutions crisis and choice in the international financial architecture par Alfaro, Laura. Publication : [S.l.] World Scientific Publishing Company 2009 . 700 p. , All managers face a business environment in which international and macroeconomic phenomena matter. Understanding these phenomena - the determinants of capital flows, the effects of foreign capital on host countries, the impact of exchange-rate movements, and the genesis of financial and currency crises - is a crucial aspect to making informed managerial decisions. Adverse macroeconomic phenomena can have a catastrophic impact on a firm's performance as demonstrated by the many strong companies destroyed by successive crises in Latin America and Asia and the even recent U.S. mortgage crisis. Yet at the same time, such episodes also create business opportunities - and not just for the hedge funds and speculators that profit from them. Managers who possess a coherent framework for analyzing these phenomena will enjoy a competitive advantage. This book presents a series of case studies taught in the Harvard Business School course, Institutions, Macroeconomics, and the Global Economy (IMaGE). The cases focus on key recent events that have shaped the way economists think about these subjects. The cases also cover events that occurred during the last three decades as they hold important lessons for the business environment that managers face today. They have also been designed to provide readers with an appreciation of the critical role of institutions in affecting patterns of international capital flows and the abilities of government to manage them effectively. 25 cm. Date : 2009 Disponibilité : Exemplaires disponibles: La bibliothèque des Sciences Juridiques, Economiques et de Gestion (1),

Multifractal Financial Markets An Alternative Approach to Asset and Risk Management / par hayek kobeissi, yasmine. Publication : . XVIII, 128 p. 25 illus., 23 illus. in color. Disponibilité :  http://dx.doi.org/10.1007/978-1-4614-4490-9,

The Gini Methodology A Primer on a Statistical Methodology / par Yitzhaki, Shlomo. Publication : . XVI, 548 p. Disponibilité :  http://dx.doi.org/10.1007/978-1-4614-4720-7,

Introduction to Financial Forecasting in Investment Analysis par Guerard, Jr., John B. Publication : . XI, 236 p. Disponibilité :  http://dx.doi.org/10.1007/978-1-4614-5239-3,

Statistics for Business and Financial Economics par Lee, Cheng-Few. Publication : . XLVIII, 1206 p. 313 illus., 189 illus. in color. Disponibilité :  http://dx.doi.org/10.1007/978-1-4614-5897-5,

Applied Corporate Finance Questions, Problems and Making Decisions in the Real World / par Pyles, Mark K. Publication : . XII, 336 p. 25 illus., 20 illus. in color. Disponibilité :  http://dx.doi.org/10.1007/978-1-4614-9173-6,

The Economics of the Monetary Union and the Eurozone Crisis par Sanchis i Marco, Manuel. Publication : . XIII, 109 p. 14 illus., 12 illus. in color. Disponibilité :  http://dx.doi.org/10.1007/978-3-319-00020-6,

Corporate Performance A Ratio-Based Approach to Country and Industry Analyses / par Koralun-Bereźnicka, Julia. Publication : . XX, 194 p. Disponibilité :  http://dx.doi.org/10.1007/978-3-319-00345-0,

Functionals of Multidimensional Diffusions with Applications to Finance par Baldeaux, Jan. Publication : . XXIII, 425 p. Disponibilité :  http://dx.doi.org/10.1007/978-3-319-00747-2,

The Euro and International Financial Stability par Tsionas, Efthymios G. Publication : . IX, 308 p. 5 illus. Disponibilité :  http://dx.doi.org/10.1007/978-3-319-01171-4,

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