Structure of Corporate Concentration
Author: United States. Congress. Senate. Committee on Governmental Affairs
Publisher:
Published: 1981
Total Pages: 1770
ISBN-13:
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Author: United States. Congress. Senate. Committee on Governmental Affairs
Publisher:
Published: 1981
Total Pages: 1770
ISBN-13:
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Publisher:
Published: 2006
Total Pages: 984
ISBN-13:
DOWNLOAD EBOOKAuthor: United States. Securities and Exchange Commission
Publisher:
Published: 1993
Total Pages: 1118
ISBN-13:
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Published: 1988
Total Pages: 322
ISBN-13:
DOWNLOAD EBOOKAuthor: Christian Langkamp
Publisher: BoD – Books on Demand
Published: 2014-02-24
Total Pages: 326
ISBN-13: 3844103090
DOWNLOAD EBOOKThe financial crisis has shown that a significant proportion of the assets held by large corporations are exposed to credit risk that must be managed. This doctoral thesis sets out to analyse the contextual and organisational framework within which these activities are set and the practices employed by professionals in the field. This analysis draws on a set of interview-based data from large corporations in Europe and Brazil, predominantly from the chemical, energy, trading, and general manufacturing industries. Due to their diverse natures, the subjects of customer and financial institution counterparty credit risk are treated separately, addressing for each the organisation of the function, data acquisition process, and IT setup recommendable in order to effectively drive risk management, including a review for the practitioner to analyse his or her processes. A final chapter with analyses regarding trade credit insurance, sovereign risk, and quantitative special items rounds off the text making it into a comprehensive treatise on credit risk management in an industrial corporation.
Author:
Publisher:
Published: 1990
Total Pages: 276
ISBN-13:
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Publisher:
Published: 1991
Total Pages: 650
ISBN-13:
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Publisher:
Published: 1991
Total Pages: 632
ISBN-13:
DOWNLOAD EBOOKAuthor: Pierre Vernimmen
Publisher: John Wiley & Sons
Published: 2022-02-22
Total Pages: 1044
ISBN-13: 1119841623
DOWNLOAD EBOOKGet a distinctly European take on corporate finance The newly revised Sixth Edition of Corporate Finance: Theory and Practice delivers a uniquely European perspective on the foundations and latest trends in corporate finance, including the marked shifts brought about by sustainability, environmental, and social concerns. Containing updated statistics and graphs, the book covers the latest innovations in financial practice, like the rise of private equity investment, the continuous decline in listed companies, and the dramatic surge of sustainability-linked financing products. Readers get access to an accompanying website that offers regularly updated statistics, graphs, and charts, direct email access to the authors, quizzes, case studies, articles, and more. The book also includes: A balanced blend of theory and practice from an author team with a presence in academia and business Access to The Vernimmen.com Newsletter, which provides monthly updates on corporate finance to over 60,000 subscribers Ideal for students studying corporate finance as part of an MBA or a master's level programme in Finance, Corporate Finance: Theory and Practice is also required reading for practicing professionals in the UK and continental Europe seeking a distinctly European treatment of a critically important subject.
Author: Peter W. Madlem
Publisher: CRC Press
Published: 2001-12-21
Total Pages: 280
ISBN-13: 9781574442540
DOWNLOAD EBOOKTremendously versatile, basket securities have the potential to change the way money is managed. This book provides the proper definition of the basket security, a brief exploration of their true history, and powerful ways to exploit their advantages. The authors explore simple yet effective ways basket securities can be used in asset management strategies including trading the market, building a diversified core, or creating a thousand stock portfolio. They cover the broad array of currently available basket securities and discuss others that are on the horizon, what and when to buy and sell, and how to protect investments from market declines.