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Šiame darbe yra tiriamas įmonių kotiravimosi keliose skirtingose biržose vienu metu poveikis vertybinių popierių grąžai ir įmonių augimui. Taip pat trumpai apžvelgiama vertybinių popierių biržų korporatyvinio valdymo įtaka papildomam kotiravimuisi tose biržose. Pirmoje darbo...
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Dauguma šiuolaikinių finansų valdymo ir investicijų mokslinių darbų akcentuoja finansinės rizikos valdymo svarbą finansinių institucijų veiklai. Augančioje finansų rinkoje aktyviais dalyviais tampa įmonės, kurių ilgalaikei sėkmei įtakos turi finansinių lėšų valdymas....
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The main idea of current PhD thesis is the analysis of bank value and risk interdependence, and that bank value is … conected with bank activity riskiness on consistent pattern and that this dependency is advisable to measure on probability … flow risk management and credit risk management, bank value and valuation methodology, modeling and use in practical tasks. …
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transitional period.The goal of this research paper is to explore the attitude of managers of rapidly growing companies toward … changes and conflicts and to examine those managers‘ styles of management and conflict handling. Thus the phenomenon of … managers of such companies was carried out. Research was underway and data analyzed according to the methodology of grounded …
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A high inflation rate is the main obstacle prohibiting euro lead into the state, that‘s why the inflation theme is the urgent one. We analyzed the inflation not only from the economic perspective, but from the legal side too. The changes of property forms, legal tends, extent of inflation,...
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to the management of bank credit, to provide the most popular credit risk management techniques, to assess the credit … service analysis methods. In detail by the AB DnB NORD bank credit analysis services, and forecasts for the credit. Confirmed … by the authors formulated the research hypothesis, that of AB DnB NORD bank credit risk management should be improved …
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