Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
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Investigates how different types of Japanese management systems are able to motivate stakeholders, including employees, top management, stockholders, customers and transaction partners, to participate actively in the organizational behavior that improves business performance. Meer
Aims to help an individual (or a family) design a personal investment strategy. This book explains how stock markets can be used to make a large fortune from a small investment. Meer
Aims to disseminate developments in the quantitative analysis of finance and accounting. This work serves as a forum for statistical and quantitative analyses of issues in finance and accounting as well as applications of quantitative methods to problems in financial management, financial accounting, and business management. Meer
Explores the potential and problems of bank safety and efficiency arising from the area of cross-border banking in the form of branches or subsidiaries with primarily only national prudential regulation. Meer
The global credit derivatives market grew in notional value from $1 trillion to $20 trillion from 2000 to 2006. However, understanding the true nature of these instruments still poses both theoretical and practical challenges. Meer
Presents a discussion of the issues related to risk, volatility, value and risk management. This book examines ways to manage risk and compute value-at-risk for exchange risk associated to debt portfolios and portfolios of equity. Meer
In the interests of globalization, many companies are establishing theories and practices for international management accounting. This book discusses the status of international management accounting in Japan through interviews with three major electronics companies: Matsushita, Sharp, and Sanyo. Meer
There is a great deal of confusion regarding the factors that led to Enron's collapse. This book addresses this problem by providing a coherent explanation of the accounting and finance problems associated with the collapse. Meer
Discusses the workings of financial markets and over-the-counter (OTC) markets, focusing on standard and complex derivatives. This book covers subjects, which range from the fundamental products in OTC markets, standard and exotic options, the concepts of value at risk, to credit derivatives and risk management. Meer
Focusing on racetrack efficiency, this book deals with the racetrack betting market. It contains important historical papers on racetrack efficiency. Meer
Harry M Markowitz received the von Neumann Prize from the Institute of Management Science and the Operations Research Institute of America in 1989 for his work in portfolio theory, sparse matrices and the SIMSCRIPT computer language. Meer
The phenomenal worldwide development over the decade of Islamic banking and finance is drawing much attention to South East Asia. This book provides an examination of the issues confronting this US$300-US$500 billion market growing at 15 per cent - 20 per cent per annum, with reviews of the different financial markets. Meer
Includes chapters that focus on selected exchange rate, monetary and financial issues and policies that are of contemporary relevance and importance to Asia, including choice of exchange rate regimes, causes and consequences of reserve accumulation, international capital flows, and regional monetary and financial cooperation. Meer
Analyzes various major derivatives debacles going back to Citibank's forex losses in its Belgian branch in 1964, to Amaranth's $5.4 billion loss on gas futures in 2006 and Societe Generale's loss of $7. Meer
Covers fundamental concepts in financial markets and asset pricing such as hedging, arbitrage, speculation in different markets, classical models for pricing of simple and complex derivatives, mathematical foundations and managing and monitoring portfolios of derivatives in real time. Meer
This book discusses the risks and opportunities that arise in Emerging Asia given the context of a new environment in global liquidity and capital flows. Meer
The proceedings of the 1st AAGBS International Conference on Business Management 2014 (AiCoBM 2014), held in Penang, Malaysia, gathers 57 refereed papers. Meer
This book includes research presented at the Global Chinese Management Studies Conferences held in Singapore between 2011 and 2014. It covers managerial themes from China that are associated with eco-labels, institutional changes in the context of governance, fusion accounting information, consumers on insuring, corporate social responsibility, financial warning systems, new product development, entrepreneurship, polycentric patterns and even destructive leadership. Meer
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