Рынок капитала

Рынок капитала

Автор: Михаил Семенов

В книге приведены основные понятия, определения и подходы для анализа рынка капитала (банковские инструменты, акции, облигации, финансовые деривативы). Материал снабжен примерами, которые помогут усвоить элементы финансовой математики; познакомят читателя с основами работы на фондовом рынке, а также принципами проведения технического анализа инвестиций, управления рисками и программным обеспечением для биржевой торговли. Для дополнительного образования студентов, аспирантов экономических специальностей, слушателей бизнес-школ, специалистов отделов ценных бумаг банков, страховых компаний, пенсионных фондов. Книга также будет полезна профессиональным участникам рынка капитала и физическим лицам – потенциальным инвесторам.

Social Responsibility, Ethics & Satisfaction in the Banking Business

Social Responsibility, Ethics & Satisfaction in the Banking Business

Автор: Jaroslav Belas,Anna Chocholakova and Jiri Paulik

The concepts of CSR and ethics in business are not new, but they are now becoming particularly relevant because the crisis has significantly highlighted the need for the integration of moral principles in the business. Knowledge of business practices shows that the acceptance of moral principles in business is not integrated into the management decisions of firms. We tried to find out if CSR and the business ethics are myth or reality?

Финансовые аспекты обеспечения стабильности транснациональных корпораций

Финансовые аспекты обеспечения стабильности транснациональных корпораций

Автор: В. Д. Джохадзе

В настоящей книге анализируются финансы современных транснациональных корпораций (ТНК) с точки зрения их использования в качестве инструмента обеспечения стабильности и устойчивости развития международных холдингов. Рассматривается комплекс конкретных финансовых инструментов и механизмов, которые имеются на вооружении у ТНК и применяются ими в бизнес-планировании и реализации среднесрочных и долгосрочных проектов. Даются практические рекомендации по использованию опыта ТНК российскими финансово-промышленными группами и компаниями. Для специалистов в области финансового планирования и менеджмента, преподавателей, студентов и аспирантов финансовых и экономических вузов, а также всех интересующихся деятельностью современных транснациональных корпораций.

Глобализация и национальные финансовые системы

Глобализация и национальные финансовые системы

Автор:

Авторы этого фундаментального издания, главным образом эксперты Финансового сектора Всемирного банка, всесторонне рассматривают глобализацию финансов и ее влияние на национальные финансовые системы. Особое внимание уделяется как новым возможностям, которые открываются благодаря финансовой глобализации перед странами, решающими вопросы устойчивого экономического развития, так и возникающим в связи с этим рискам для национальной экономики. Книга будет полезна экономистам-аналитикам, а также всем тем, чья практическая деятельность связана с банковской сферой, инвестициями, рынками ценных бумаг и вопросами пенсионного обеспечения.

Financing of Small Scale Enterprises

Financing of Small Scale Enterprises

Автор: K. Ekambaram and P.R. Sivasankar

This book deals with the development of small scale enterprises in general and entrepreneurship development among small enterprises in particular in a backward district of the country viz., Nellore. The book also focuses primarily, inter alia, on the role of promotional institutions in the development of small scale enterprises and managerial abilities of small entrepreneurs vis-a-vis the perennial problems faced by them. Some features like perceptional analysis of the role and performance of Andhra Pradesh State Financial Corporation for the development of small scale enterprises leading to entrepreneurial orientation, find prominent place in the book. Further, the analysis of the development of small enterprises and role of State Financial Corporation in different dimensions by itself enriches the content of the subject matter. Problems of small scale enterprises covering such aspects as finance, skilled employment, marketing, power supply and availability of scarce raw materials…

Factors Affecting the Performance of Stockbrokers in Kenya

Factors Affecting the Performance of Stockbrokers in Kenya

Автор: Asenath Maobe

Over the last few years there has been cases of brokerage houses collapsing all over the world and innocent investors losing their hard-earned monies to unscrupulous stockbrokers. This book, therefore provides an in-depth understanding of what factors affect the performance of the stockbrokers in Kenya, the book has also evaluated factors affecting other stockbrokers performance around the world. This book, is handy to investment banks/stockbrokers’ firms round the globe to help improve their performance. It is equally valuable to local and international investors,their understanding of what affects stockbrokers performance will enable them choose a stockbroker wisely and ultimately safeguard their wealth.Besides that,this book will also enable students learning finance, to appreciate this aspect of the capital market.

Regulation and Compliance in Operations (Securities Institute Global Capital Markets)

Regulation and Compliance in Operations (Securities Institute Global Capital Markets)

Автор:

‘Regulation and Compliance in Operations’ looks at how regulation affects the operations function by focusing on regulatory issues and drivers. As regulatory demands ever increasing, it is important for operations teams to be aware of the important regulatory issues which exist globally. Like any other part of an organization in the financial services industry, operations has rules and regulations to comply with. Although many view regulation as being about rooting out rogue tradersand controlling speculators, its role is much more profound than this, and without it many more ‘scandals’ would undoubtedly occur. The problem for the regulator is that unless total oversight of every transaction, account, business and individual can be made, there will always be rogue traders or more recent examples like Enron and World.Com. As such intense oversight is not practical, the regulator can only do so much, with most of the responsibility resting with the firms…

Investing in Human Resources for Competitive Advantage

Investing in Human Resources for Competitive Advantage

Автор: Frankline Oyese Omuse

The content of the roles in HRM continue to increase and shift, while resources are constrained. If we do not step forward with compelling HR leadership, the future will be determined for us. One thing is certain, HRM is evolving and the profession will either be driven reactively by external changes or will more proactively define its own future. As HR leaders we are challenged to guide the many changes needed to continue the HR evolution. This book, “Investing in Human Resources for Competitive Advantage,” highlights a number of issues for HR Managers that are necessary in this kind of unstable environment. The topics discussed include;Introduction to HRM and Environment, Human Resource Planning, Job Analysis, Recruitment and Selection, Onboarding of New Employees, Performance Appraisal, Job Evaluation, Training and Development and Succession Planning. The second last chapter takes a look at Employee Health and Safety, and the last chapter discusses about the Recent Trends in…

The Determinants of Corporate Capital Structure

The Determinants of Corporate Capital Structure

Автор: Rana Sajid Shafique

A mixture of debt-equity financing is a capital structure. Choice between debt and equity as well as its determinants are related to several different factors. The main purpose of this empirical research study is to examine firm’s level specific determinants, industry wise, which may have impact on the firm’s capital structure. Present study closely examined firms in chemical, engineering, sugar, fuel & energy and cement sector listed at Karachi stock exchange of Pakistan over the period 2004-09 by employing OLS regression Models in a panel data analysis. Eight independent variables were employed for examining the impact on leverage regarding different non-financial sectors of Pakistan. This study will contribute towards the existing body of knowledge as not so much extensive empirical research work has been done in Pakistan. Also, this study has both importance to different respondents i.e. analysts, researchers, investors, and firm’s finance managers as well as has policy…

A History of Corporate Finance

A History of Corporate Finance

Автор: Jonathan Baskin, Paul J. Miranti, Paul J. Miranti Jr.

This study focuses on the role of institutions and organizations in the development of corporate finance from the Italian merchant banks of the Renaissance through the formation of conglomerates and leveraged-buy-out partnerships in contemporary Wall Street. It also puts forth a compelling argument for the closer integration of historical and quantitative research methodologies in financial theory. The epilogue contains an original algorithm that explains the relationship between the short-term, firm-specific factors and longer-term environmental elements that have shaped the historical development of finance.