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The paper considers conceptual, methodical and practical aspects of the target financial analysis at the micro level, i.e., the company level, as a new instrument of anticrisis financial management for a company to overcome its financial difficulties and enhance its financial position within a...
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Increasing globalization has meant the internet becoming ever more part of the routine of people around the world. With the evolution of the internet, social networks have emerged in order to facilitate communication between people, communities and even between corporations. Social networks...
Persistent link: https://www.econbiz.de/10013009652
The year 2011 saw the launch of the National Innovation Strategy and Capital Market Masterplan 2 in Malaysia, underlining an increasingly important national agenda of innovation-led growth. As the Malaysian capital market is expected to face greater challenge to expand its market size against...
Persistent link: https://www.econbiz.de/10012997969
This paper considers the factors the allowed for the birth and facilitated the subsequent development of the equity side and the finance (or debt) side of the Islamic capital markets. The equity side of the Islamic capital markets began in 1998 with the issuance (after five years of debate) of a...
Persistent link: https://www.econbiz.de/10013128753
Celem opracowania była odpowiedź na pytanie czy prywatyzacja w Polsce obserwowana z perspektywy roku 2005 rzeczywiście poprawiła efektywność gospodarowania przedsiębiorstw. W celu odpowiedzi na to pytanie główne rozważono trzy problemy cząstkowe: czy sektor spółek prywatnych...
Persistent link: https://www.econbiz.de/10013108551
We test whether a country's level of financial development or institutional quality (or both) have a first order effect on corporate debt maturity decisions on a sample of 359 non-financial firms from five South American countries over a 12 year period. We find that there is a substantial...
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Our aim is to investigate the sensitivity of financial sector stock returns to market, interest rate, and exchange rate risk in three financial sectors (financial services, banking, and insurance) in eight countries, including various European, the US, and China economies, over the period...
Persistent link: https://www.econbiz.de/10011450341