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  1. Money and finance in Hong Kong
    retrospect and prospect
    Autor*in:
    Erschienen: c1998
    Verlag:  World Scientific, Singapore

    Hong Kong after its return to China : some issues in money and finance -- Hong Kong's monetary system : a currency board perspective mehr

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    Kühne Logistics University – KLU, Bibliothek
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    Hong Kong after its return to China : some issues in money and finance -- Hong Kong's monetary system : a currency board perspective

     

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    Quelle: Verbundkataloge
    Beteiligt: Jao, Y. C.
    Sprache: Englisch
    Medientyp: Ebook
    Format: Online
    ISBN: 9789812816221; 9812816224
    RVK Klassifikation: RR 77986
    Schriftenreihe: EAI occasional paper ; no. 2
    Schlagworte: Money; Finance; Monetary policy; Currency boards; Monetary policy; Currency boards; Finance; Money; Monetary policy; Money; Currency boards; Finance; Finanzas; Política monetaria; BUSINESS & ECONOMICS ; Money & Monetary Policy; Currency boards; Finance; Monetary policy; Money; Financiële instellingen; Wisselkoersen
    Umfang: Online Ressource (v, 71 p.)
    Bemerkung(en):

    Includes bibliographical references. - Description based on print version record

    Hong Kong after its return to China : some issues in money and financeHong Kong's monetary system : a currency board perspective.

  2. Ethical conflicts in finance
    Autor*in:
    Erschienen: 2011
    Verlag:  Blackwell Finance, Oxford, UK

    This book provides, for the first time, a broad analysis of the whole range of potential conflicts in finance, based on both academic research and the views of professionals on how these issues are faced in practice. It will be essential reading for... mehr

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    Universitäts- und Landesbibliothek Sachsen-Anhalt / Zentrale
    ebook
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    Technische Universität Hamburg, Universitätsbibliothek
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    Zentrale Hochschulbibliothek Lübeck
    KaufEBook202103
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    Bibliotheks-und Informationssystem der Carl von Ossietzky Universität Oldenburg (BIS)
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    Bibliotheks-und Informationssystem der Carl von Ossietzky Universität Oldenburg (BIS)
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    Bibliotheks-und Informationssystem der Carl von Ossietzky Universität Oldenburg (BIS)
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    Universitätsbibliothek Rostock
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    This book provides, for the first time, a broad analysis of the whole range of potential conflicts in finance, based on both academic research and the views of professionals on how these issues are faced in practice. It will be essential reading for students of finance and banking, as well as for finance professionals

     

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    Quelle: Verbundkataloge
    Beteiligt: Prindl, Andreas R.; Prodhan, B.
    Sprache: Englisch
    Medientyp: Ebook
    Format: Online
    ISBN: 1855732564; 9781855732568
    RVK Klassifikation: CC 7262 ; QP 323
    Schriftenreihe: Blackwell finance
    Schlagworte: Financial services industry; Insider trading in securities; Business ethics; Social responsibility of business; Financial services industry; Business ethics; Social responsibility of business; Insider trading in securities; Financial services industry; Financial services industry ; Corrupt practices; Insider trading in securities; Social responsibility of business; Business ethics; Finanzwirtschaft; Unternehmensethik; Financiële instellingen; Ethiek; Conflicten
    Umfang: Online Ressource (xiv, 257 pages)
    Bemerkung(en):

    Cover title: The ACT guide to ethical conflicts in finance. - "For the use and guidance of Association of Corporate Treasurers' members and students and other participants in today's financial markets"--Preface. - Includes bibliographical references and index. - Print version record

    "For the use and guidance of Association of Corporate Treasurers' members and students and other participants in today's financial markets"--Preface

    Includes bibliographical references and index

    Description based on print version record

    Master and use copy. Digital master created according to Benchmark for Faithful Digital Reproductions of Monographs and Serials, Version 1. Digital Library Federation, December 2002

    Online-Ausg. [S.l.] : HathiTrust Digital Library

  3. Financial reform
    what shakes it? what shapes it?
    Autor*in:
    Erschienen: c2005
    Verlag:  International Monetary Fund, [Washington, D.C.]

    Financial sector liberalization was high on the agenda of policymakers during the last quarter of the twentieth century. But there were significant differences in the pace and scale of reform. This pamphlet examines the factors triggering-or impeding... mehr

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    Hochschule Aalen, Bibliothek
    E-Book EBSCO
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    Hochschule Esslingen, Bibliothek
    E-Book Ebsco
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    Otto-von-Guericke-Universität, Universitätsbibliothek
    eBook EBSCO AC
    keine Fernleihe
    Hochschule Offenburg, University of Applied Sciences, Bibliothek Campus Offenburg
    E-Book EBSCO
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    Saarländische Universitäts- und Landesbibliothek
    keine Fernleihe
    Universitätsbibliothek der Eberhard Karls Universität
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    Financial sector liberalization was high on the agenda of policymakers during the last quarter of the twentieth century. But there were significant differences in the pace and scale of reform. This pamphlet examines the factors triggering-or impeding and even reversing-financial reform in 35 economies, both industrial and developing

     

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    Quelle: Verbundkataloge
    Beteiligt: Abiad, Abdul; Mody, Ashoka
    Sprache: Englisch
    Medientyp: Ebook
    Format: Online
    ISBN: 9781451935523; 1451935528
    Schriftenreihe: Economic issues 1020-5098 ; 35
    Economic issues ; 35
    Schlagworte: Economics; Economic policy; International finance; Economics; Economic policy; International finance; International finance; Economic policy; Economics; Economic policy ; Econometric models; Economics ; Econometric models; International finance ; Econometric models; Financiële instellingen; Hervormingen; BUSINESS & ECONOMICS ; Finance
    Umfang: Online Ressource (iv, 20 p.), ill.
    Bemerkung(en):

    "Based on our study "Financial reform: what shakes it? What shapes it?" (American Economic Review, March 2005) [and] the working paper version (IMF Working Paper no. 03/70, April 2003)"--P. iv. - Description based on print version record

  4. Financial policies and capital markets in Arab countries
    Autor*in:
    Erschienen: 1994
    Verlag:  International Monetary Fund, Washington, D.C

    In recent years the process of financial liberalization has spread in both developed and developing countries. This liberalization has been accompanied by increased global financial integration, which has led to a great expansion of cross-border... mehr

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    Hochschule Aalen, Bibliothek
    E-Book EBSCO
    keine Fernleihe
    Hochschule Esslingen, Bibliothek
    E-Book Ebsco
    keine Fernleihe
    Otto-von-Guericke-Universität, Universitätsbibliothek
    eBook EBSCO AC
    keine Fernleihe
    Hochschule Offenburg, University of Applied Sciences, Bibliothek Campus Offenburg
    E-Book EBSCO
    keine Fernleihe
    Saarländische Universitäts- und Landesbibliothek
    keine Fernleihe
    Universitätsbibliothek der Eberhard Karls Universität
    keine Fernleihe

     

    In recent years the process of financial liberalization has spread in both developed and developing countries. This liberalization has been accompanied by increased global financial integration, which has led to a great expansion of cross-border capital flows. The impact of these developments on the economies of the Arab region and their prospects for the future were the focus of a seminar held in Abu Dhabi on January 25-26, 1994. In sponsoring the seminar, the IMF was again happy to be associated with the Arab Monetary Fund and the Arab Fund for Economic and Social Development, as well as with the International FinanceCorporation. The present volume of seminar proceedings is the sixth to have been published jointly by the IMF and the Arab Monetary Fund and provides a most timely addition to the series. Once again, Professor Said El-Naggar moderated theseminar and brought his considerable experience to bear on managing the discussion as well as on preparing the proceedings for publication

     

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  5. Japan's financial crisis
    institutional rigidity and reluctant change
    Autor*in:
    Erschienen: [2004]
    Verlag:  Princeton University Press, Princeton

    At the beginning of the 1990s, a massive speculative asset bubble burst in Japan, leaving the nation's banks with an enormous burden of nonperforming loans. Banking crises have become increasingly common across the globe, but what was distinctive... mehr

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    Hochschule Aalen, Bibliothek
    E-Book EBSCO
    keine Fernleihe
    Hochschule Esslingen, Bibliothek
    E-Book Ebsco
    keine Fernleihe
    Otto-von-Guericke-Universität, Universitätsbibliothek
    eBook EBSCO AC
    keine Fernleihe
    Hochschule Offenburg, University of Applied Sciences, Bibliothek Campus Offenburg
    E-Book EBSCO
    keine Fernleihe
    Saarländische Universitäts- und Landesbibliothek
    keine Fernleihe
    Universitätsbibliothek der Eberhard Karls Universität
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    At the beginning of the 1990s, a massive speculative asset bubble burst in Japan, leaving the nation's banks with an enormous burden of nonperforming loans. Banking crises have become increasingly common across the globe, but what was distinctive about the Japanese case was the unusually long delay before the government intervened to aggressively address the bad debt problem. The postponed response by Japanese authorities to the nation's banking crisis has had enormous political and economic consequences for Japan as well as for the rest of the world. This book helps us understand the natur Networks and state performance -- pt. 1. Contours of Japan's financial policy networks. Finance ministry ties with the political arena -- Finance ministry ties with private and quasi-governmental financial institutions -- Finance ministry ties with other government agencies and the central bank -- pt. 2. Evolution of network-based regulation. Institutional "fit" for rapid growth -- Slowed growth, institutional rigidity, and reforms postponed -- Network-managed forbearance after the "bubble" bursts -- Policy paralysis amid deepening crisis -- pt. 3. Institutional change and system transition. A new regulatory and policymaking paradigm -- Why can't Japan get back on track? -- Conclusion.

     

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    Quelle: Verbundkataloge
    Beteiligt: Amyx, Jennifer Ann
    Sprache: Englisch
    Medientyp: Ebook
    Format: Online
    ISBN: 9781400849635; 1400849632
    RVK Klassifikation: QL 270 ; QK 010 ; QG 870
    Schlagworte: Finance; Financial crises; Banks and banking; Finance; Financial crises; Banks and banking; Financial crises; Banks and banking; Finance; Financiële instellingen; Financiële crises; BUSINESS & ECONOMICS ; Finance; POLITICAL SCIENCE ; Political Economy; Banks and banking; Finance; Financial crises; Finanzpolitik; Financiële instellingen
    Umfang: Online Ressource (xix, 365 pages), illustrations
    Bemerkung(en):

    Includes bibliographical references (pages 341-359) and indexes. - Print version record

    Networks and state performancePt. 1. Contours of Japan's financial policy networks. Finance ministry ties with the political arena -- Finance ministry ties with private and quasi-governmental financial institutions -- Finance ministry ties with other government agencies and the central bank -- Pt. 2. Evolution of network-based regulation. Institutional "fit" for rapid growth -- Slowed growth, institutional rigidity, and reforms postponed -- Network-managed forbearance after the "bubble" bursts -- Policy paralysis amid deepening crisis -- Pt. 3. Institutional change and system transition. A new regulatory and policymaking paradigm -- Why can't Japan get back on track? -- Conclusion.