Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
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The problem of solvency is, in fact, as old as insurance. The history of the industry knows many ways to meet the risks involved with underwriting, such as spreading the risk portfolio (Cato, Senior already applied it), risk selection, reserve funds, reinsurance, etc. Meer
Wales is being transformed from a country dependent upon heavy industries to one of the most exciting regions of Western Europe. It is attracting a diversity of activity in terms of both inward investment and a whole range of new indigenous business. Meer
This book is open access under a CC BY-NC-ND 4.0 license.
This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. Meer
This book is open access under a CC BY-NC-ND 4.0 license.
This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. Meer
This Pivot proposes an integrated approach to facilitate competency development in a more comprehensive way. It examines this approach in the important but seldom studied context of risk management in banks. Meer
This book is about the roles that financial institutions are expected to play for revitalizing regional economies in Japan, which face several serious problems such as a rapidly aging population as well as a sharp decline in population. Meer
With the exponential growth of program trading in the global financial industry, quantum finance and its underlying technologies have become one of the hottest topics in the fintech community. Meer
This book is a simple and concise text on the subject of security analysis and portfolio management. It is targeted towards those who do not have prior background in finance, and hence the text veers away from rather complicated formulations and discussions. Meer
In the face of the recent financial crisis there is increased focus on long-term investment strategies. This is particularly true for institutional investors who manage our retirement savings. Meer
This book discusses ideas for stakeholders to develop strategies to access and use financial products and services such as deposits, loans, and fund transfer mechanism, insurance, payment services, and intermediaries, distribution channels at economical prices in order to cater to the needs of the poor and underprivileged people. Meer
Based on theoretical foundations and evidence-based case studies, this book identifies the fundamental motivations underpinning corporate fraud in both developing and developed countries. Meer
The book focuses on how microfinance institutions can be the alternative way to supply funds to combat different phases of global economic recessions. Meer
This book shows banking professionals how to leverage the best practices in the industry to build a structured and coordinated approach towards the digitization of banking processes. Meer
Introduces corporate financial management, based on the basic capital budgeting framework and the time value of money. This book focuses on theoretical formulations and correct application of financial techniques that can help improve managerial and financial decisions. Meer
Begins with an introduction to accounting and financial reporting, followed by a description of the development of international standards and the present structure, role and operations of the International Accounting Standards Board. Meer
Provides a treatment of academic and practitioner approaches to equity security valuation. This book challenges conventional academic wisdom surrounding the ergodic properties of stochastic processes, guided by historical and philosophical insights. Meer
Teaches financial engineering as tools and a way of thinking to solve real-world problems. This title offers you the expertise to make significant progress in understanding brand new derivatives given only a preliminary term sheet, thus making you extraordinarily valuable to banks, brokerage houses, trading floors, and hedge funds. Meer
William F Sharpe received the Nobel Prize in Economics in 1990 for his work on equilibrium pricing in capital markets. This book consists of a collection of Dr Sharpe's work in these and other areas. Meer
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