Erfolgsfaktoren von Genossenschaftsbanken

Author: Thomas Maurer
Publisher: Springer-Verlag
ISBN: 3658149892
Format: PDF, Kindle
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Auf der Basis einer empirischen Untersuchung von über 900 deutschen Genossenschaftsbanken analysiert Thomas Maurer im Zeitverlauf, wie die Rentabilität mit der regionalen Lage und weiteren Einflussgrößen korreliert. Der Autor zeigt auf, dass der Erfolg von einer Vielzahl betriebswirtschaftlicher, volkswirtschaftlicher und demografischer Faktoren abhängig ist. Wesentliche Faktoren sind dabei die Lage (städtisch, halbstädtisch oder ländlich), die Betriebsgröße, die Kreditquote, die Eigenkapitalquote sowie Steigung und Niveau der Zinsstrukturkurve.

Financial Institutions Management

Author: Anthony Saunders
Publisher: Irwin/McGraw-Hill
ISBN:
Format: PDF, Mobi
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Saunders and Cornetts Financial Institutions Management: A Risk Management Approach 4/e focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets through which these risks are managed are becoming increasingly similar whether an institution is chartered as a commercial bank, a savings bank, an investment bank, or an insurance company. Although the traditional nature of each sectors product activity is analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, off-balance-sheet banking, and international banking.

Corporate governance at the crossroads

Author: Donald H. Chew
Publisher: McGraw-Hill/Irwin
ISBN: 9780072957082
Format: PDF, ePub, Mobi
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Behind today’s startling global spate of corporate scandals lies an even more alarming breakdown in corporategovernance. Corporate Governance at the Crossroads features 40 articles by leading scholars and practitionersthat examine the role of directors, controversial compensation plans, accounting and reporting issues, andmore. Roundtable discussions highlight recent realities and concerns, along with possible solutions.

Emerging Financial Markets

Author: David O. Beim
Publisher: Irwin Professional Pub
ISBN: 9780072425147
Format: PDF, ePub, Mobi
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This is the first text to be written on Emerging Financial Markets. The book is partially the result of a grant given by Citibank to Columbia Business School for the purpose of designing a new course in emerging financial markets for their MBA program. The text reflects the tremendous research in recent years seeking to explain the financial crises in Latin America and Asia during the mid to late 1990's and related issues such as capital flows, currency regimes, legal and regulatory matters, corporate governance, and the functions and structure of financial systems. Emerging Financial Markets suggests and explores three key foundations that explain why emerging markets behave differently than developed markets: (1) law, (2) institutions of information and control, and (3) inflation and currency stability.

Fundamentals of corporate finance

Author: Stephen A. Ross
Publisher:
ISBN: 9780071254502
Format: PDF, ePub
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Accompanying ... "student CD-ROM contains self-study software that allows you to test your knowledge. It also includes new student-narrated PowerPoint slides that talk you through chapter topics. New Interactive FinSims features hands-on simulations of key concepts to reinforce important topics. You will also find Excel templates that correspond with many end-of-chapter problems, along with additional Web links to the book's Online Learning Center and other important Websites."--P. [4] of cover.

Fundamentals of Investments

Author: Charles J. Corrado
Publisher: McGraw-Hill/Irwin
ISBN: 9780256154238
Format: PDF, ePub, Mobi
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This text is aimed at students who have relatively little familiarity with investment. It discusses the characteristics of the four basic types of financial instruments; stocks, bonds, options and futures, and assesses their risks, returns and the markets in which they trade.

Investments

Author: Zvi Bodie
Publisher: McGraw-Hill/Irwin
ISBN: 9780072503661
Format: PDF, Mobi
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Bodie/Kane/Marcus is the leading textbook in the graduate investments market. It is recognized as the best blend of practical and theoretical coverage, while maintaining an appropriate rigor and clear writing style. Its unifying theme is that security markets are nearly efficient, meaning that most securities are usually priced appropriately given their risk and return attributes. The text places greater emphasis on asset allocation, and offers a much broader and deeper treatment of futures, options, and other derivative security markets than most investment texts.