Corporate Governance And Social Responsibility

02 Nov 2017

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Master of Business Administration Paper Name: Corporate Governance and Social Responsibility Lecturer: Dr. Coral Ingley Assessment: Paper Code & Stream: Eg 476680/60 478912 Word Count: 1422 Statement of Academic Honesty This assessment has been written by me and represents my own work. This work has not been previously submitted. All sources information has been appropriately ...

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Financial Analysis And History Of Omaxe Ltd

02 Nov 2017

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The company was originally set up as Omaxe Builders Private limited in 1989, promoted by Sh. Rohtas Goel , the founder, to undertake construction & contracting business. The company further changed its constitution to a limited company known as Omaxe Construction Ltd., in 1999. The name of the company has now changed to OMAXE LTD from ...

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The Evolution Of Offshore Banking In Mauritius

02 Nov 2017

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The offshore banking is the deposit of funds by either a company or an individual in a bank which is situated outside their national residence. The geneses of the offshore banking industry are found in a group of island off the northwest coast of France, the Channel Island. Many years back, a group ...

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The Financial Crisis Causing Massive Losses To Investors

02 Nov 2017

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http://farm4.static.flickr.com/3524/3274852218_e30c8ce892.jpg?v=0Figure 1.0 Downgrade of CDOs and RMBS by S&P and Moody’s increased dramatically from 2007-2009 (cited in a Paris 2009). CRA Task Force suggested amending the IOSCO CRA Code of Conduct (Technical Committee of The International Organization of Securities Commissions 2008, pp. 14-16). CRAs should have graded CDOs and RMBS honestly instead of evaluating it ...

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Quantitative Credit Risk Model

02 Nov 2017

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Introduction – credit risk and credit scoring Credit risk is the most significant risk faced by banks. It is the risk of loss that arises because borrowers are unable or unwilling to fulfill their contractual obligations. The categorisation of good and bad credit is a key tool in managing credit risk and can be facilitated ...

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The Financial Aspects Of The Companys Operation

02 Nov 2017

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This is to draw your attention that the Prospect company’s sales have averaged about £1,000,000 annually for the three-year period 2010-2012.The firm’s total assets at the end of 2011 amounted to £800,000.The company’s performance has been satisfactory in terms of profit and shareholders have gained profit on their investments .The operation of the company defines ...

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Principles Of Risk Management And Insurance

02 Nov 2017

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C:\Users\1011243\Desktop\ADU Loggo.png College of Business Administration Principles of Risk Management and Insurance FIN 303 Section 51 Submitted to: Dr. Khalil Submitted by: Leina Elgazali 1006384 Mariam Bannout 1011545 Lina Shaker 1010943 Maya Hindawi 1027344 Dina Nabil 1028316 Index Introduction…………………………………………………………… Background of the Insurance Industry in the UAE………….……………. Al Wathba NIC Introduction ………………………… Al Wathba NIC ...

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Motives In Mergers And Acquisitions

02 Nov 2017

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I would like to take this opportunity to express my sincere appreciation to all the people who supported me through this dissertation. Firstly, I would like to thank my tutor Vicenzo Denicolo, who has guided me in my dissertation and supported me with his advice. In addition I would like to send my deepest gratitude ...

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Regulations Of The Bank Are A Form

02 Nov 2017

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Introduction The regulations of the Bank are a form of government instruction by the Bank of certain necessities, boundaries and guidelines. The bank regulations create a transparency relationship with those who carry out business between banking institutions and the individuals and companies. There are some general objectives of bank regulations, the one of the objective ...

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The Differential Efficiency Theory

02 Nov 2017

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Merger is combining of two or more independent business corporations into a single entity, usually the absorption of one or more firms by another dominant firm. A merger may be carried out by one firm purchasing the other’s assets with cash or its securities or by purchasing the other’s shares or stock or by issuing ...

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A Report On Umuc Portfolio Management

02 Nov 2017

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Today more and more people look for the ways how to save and increase their money savings. UMUC Portfolio Management offers highly-professional assistance in the developing portfolios consistent with clients’ objectives. This research is aimed to offer recommendations of the best investment variants according to the client’s goals. It becomes possible due to the comprehensive analysis ...

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International Financial Risk And Control

02 Nov 2017

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Company: Jaguar Mining Inc (http://www.jaguarmining.com/) Jaguar Mining Inc is a name of the gold mining and producer in Brazil and operating in a creative greenstone belt in the state of Minas Gerais. Jaguar Mining Inc. is holding approximately 210,000 hectares of land resources for mining purposes in addition to working on Gurupi ...

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Appraisal Methods To Manage Financial Resources

02 Nov 2017

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Financial performance ABP level 7 Lecturer: Mr. Saad Siddiqi This assignment is submitted for Post-Graduate Diploma in Marketing Management from ABP via London Academy of Management Sciences. Contents Student’s Details Surname: Majid ...

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The Mutual Fund Industry

02 Nov 2017

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1.1 Introduction: At the time of Independence in 1947, there was no strong financial institutional mechanism in the country. There was absence of issuing institutions and non-participation of intermediary financial institutions. The industrial sector also had no access to the savings of the community. The capital market was very primitive and shy. The ...

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Interest Rate Firm Size Taxation

02 Nov 2017

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LITERATURE REVIEW Introduction: Accorind to Mahmood (2003) showed that economy is not good in Pakistan. Pakistan market capitalization and GDP growth are very low they have undeveloped equity market that is the reason of very high leverage ratio in Pakistan. A high proportion of fixed cost means that very high risk belongs to company. Government ...

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The Generalized Linear Models

02 Nov 2017

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4.1 Introduction 4.2 Regression A model that has both deterministic as well as probabilistic components is called a regression model [12]. In deterministic model, with the help of one variable, value of other variable can be predicted and represented by y=f(x) which means value of y depends upon x, this is the reason why this ...

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Determinants Of Decline Trend Of Foreign Direct

02 Nov 2017

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INTRODUCTION 1.1 Introduction and Background The term ‘investment’ can be described as the stock or bonds obtained to accomplish certain financial goals; it can also mean a physical asset such as a tool acquired to produce and sell a product. Idle cash is not an investment, since its value is likely to be eroded by ...

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Derivatives As A Risk Transfer Technique

02 Nov 2017

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Pritpaul Walia Walter Chao FI 483 Risk Management & Insurance 4 February 2014 Derivatives as a Risk Transfer Technique Risk has many definitions depending on the industry and profession in question. IT Consultants, Economists, Scientists, Doctors and Finance professional each have their own concept of what risk is to them. An underlying similarity ...

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The Absence Of Corporate Governance

02 Nov 2017

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Chapter 2 Introduction: A. Problem Definition and Research Objectives 1. Problem Definition The absence of corporate governance will lead to an extensive collapse on the economic level, as was the case of Korea in 1997. In Lebanon, the Commercial Bank sector plays a strong role and it basically carries the Lebanese economy, its downfall would ...

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Asset Class Co Movement And The Macro Economy

02 Nov 2017

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Asset Class Co-movement and the Macro-economy Abstract This paper analyses the co-movement of stocks, government bonds and gold in the US, UK, Germany and Japan by applying Engel’s (2002) dynamic conditional correlation estimation method and regressing against macroeconomic variables and implied stock volatility. Building on the current literature this paper shows that real interest rates ...

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The Markowitz Portfolio Theory

02 Nov 2017

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Abstract There are two parts in this paper, the first one is about the mean variance model and the semi-variance model. Afterwards, ten stocks will be chosen for the portfolio optimization. The second part focuses on two Bayesian methods for estimation risk, i.e. diffuse prior and conjugate prior. The purpose of this paper is to ...

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Rio Disney Theme Park

02 Nov 2017

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Introduction In this report we will on behalf of Disney find out if investing in Brazil would be of benefit to the company. Throughout this report we will go through several steps to reach our final result. Based on this final result we would come to a conclusion whether Disney should go ahead with its ...

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Soe Firms In Corporate Governance After Going

02 Nov 2017

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Shenghui Tong Chinese Academy of Finance and Development Central University of Finance and Economics E-mail: [email protected] Eddy Junarsin [1]  Faculty of Economics and Business, Universitas Gadjah Mada E-mail : [email protected] Draft: December 31, 2012 Do Private Firms Outperform SOE Firms in Corporate Governance after Going Public in China? Abstract This study examines the characteristics of board structure ...

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Is Margin Credit And Short Selling Dangerous

02 Nov 2017

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Collateral loans or what is known as secured loans means that the person who is welling to borrow the money have offered a property of his to the lender as a guarantee, hence the lender is going to take less risk. If the borrower did not pay back the secured loan amount as agreed, the ...

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Liquidity Has Been Known As The Ability

02 Nov 2017

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Chapter 1 Introduction 1.0) Introduction Liquidity has been known as the ability of bank to fulfill their financial obligations when they come due. Basel Committee on Banking Supervision (1997) defined liquidity risk as the inability of bank to decrease in liabilities or fund up assets. A bank with insufficient liquidity is unable convert its asset ...

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Definition Of The Term Corporate Governance

02 Nov 2017

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Corporate governance is a central and dynamic aspect of business. There are many ways of defining corporate governance, ranging from narrow definitions that focus on companies and their shareholders, to broader definitions that incorporate the accountability of companies to many other group of people, or "stakeholder". The importance of corporate governance for corporate success as ...

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Decades Of Economic Decline

02 Nov 2017

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The aim of this chapter is to introduce the context of this study. In doing so, the chapter discusses the background, purpose and significance. It further highlights the conceptual framework and research design employed in the study. The chapter closes with the commentary on the structure of the thesis. 1.1 Background While recovering from decades ...

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Background Of Foreign Direct Investment

02 Nov 2017

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Net present value ('NPV') of a project is the sum of the discounted cash flows less the initial investment. The advantage of using NPV method in evaluating a project is that it focuses on the effect of a project towards the shareholders' wealth. The rule of thumb in using the NPV method is all projects ...

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The Use Of Funds

02 Nov 2017

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To serve our clients by increasing the bank’s network of branches To strengthen the currunt system for dealing with debit cards and facilitate the incorporation of credit cards to enable the payment of salaries to all government To develop the Bank’s administrative and organizational structures and to prepare the platform for best practice corporate governance ...

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Barr Argues On Why Tax Funding

02 Nov 2017

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There is evidence globally that real funding per student declined piercingly over the years in many countries as student numbers increased (Slaughter & Rhoades, 2004). Further argued that, even if taxpayer finance on a sufficient scale were attractive, it was infeasible (Barr, 2008). Nor does taxpayer finance widen participation. Clearly, some latest studies which show ...

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The Case Of Multionationals

02 Nov 2017

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Kateryna Kondrunina Department of Economics Hanken School of Economics Helsinki 2013 HANKEN SCHOOL OF ECONOMICS Department of: Economics Type of work: Master’s Thesis Author: Kateryna Kondrunina Date: Title of thesis: International diversity in a boardroom and corporate performance: the case of multionationals Abstract: Based on a sample of the world’s top 100 non-financial transnational corporations ...

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Company Organization With Functions Of Risk Management

02 Nov 2017

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Introduction Asia Cement Co. Ltd. is South Korea's cement, concrete, and chemical company headquartered in Seoul, Korea. Established in 1965, the company primarily produces remicon and Portland cement. Asia Cement Co., Ltd. is one of the largest manufacturing cement and ready-mixed concrete company in Korea. In its 45th year in 2010, it is the nation’s key industrial and basic construction material company with 1,000 employees and ...

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Financial Crisis Of 2008

02 Nov 2017

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Banks configure money market funds and advised deposit-holders to take out capital and place them in the money market funds. As a result, many of these instruments were created using borrowed funds, so that the firms did not have to give a full expense of capital. During the bubble, investment banks borrowed deeply to purchase ...

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Income For Investors Government And Landowners

02 Nov 2017

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INTRODUCTION This report provides information About Asia Pacific Resource Limited obtained from an article published on 5th March, 2013 in Fiji sun. It is regarding the "lease extension" of the company which will expire in July 2013. Asia pacific resource limited is a mining company operating at Wainivesi mine seeking an extension to the mining ...

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History Of Managerial Compensation And Corporate Governance

02 Nov 2017

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Introduction Managerial reimbursement justifies an enhanced perception by all pertinent shareholders as it is a decisive component of corporate authority. Managerial packages are significant by their size as well as their configuration as they decide the manager’s stimulants. Such packages received by the managers are, in certain case so massive in monetary means that it ...

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Policy Fine Tuning The Direction

02 Nov 2017

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In 2012, the policy fine-tuning the direction and strength become A-share market the biggest concerns, relax effort too much, it's easy to cause inflation and asset bubbles rise up. Don't relax, the entity economic vitality is insufficient, some small and medium-sized enterprises will face bankruptcy, investors in dealing with policy changes must be careful. In ...

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Financial Regulation And Supervision

02 Nov 2017

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Hu Yu Contents Executive summary This report is suitable to RBS for investor consultancy of UK market. This report is based on Basel III. This report is about the Basel III. The references are from: website. The main issues are: time limited, Basel III is new and just started hard to find relevant data. The ...

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Market Risk Premium Expected

02 Nov 2017

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Research Project Presented to MPSTME, NMIMS In Partial Fulfilment of the Requirement for the Degree MBA Tech By Tanmay Mehta 527 Year of Graduation 2013 Acknowledgements I am indebted to many people who have helped and supported me during this project. My deepest thanks to my mentor Prof. Alaknanda Lonare for her careful supervision and ...

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Roles Of The Chairman And The Ceo

02 Nov 2017

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Most of the key concepts of corporate governance provide the framework of reference for the strategic management of the firm. Corporate governance, however, must not be confused with management, ethical behavior nor the social responsibility of the firm. Practicing good corporate governance helps improve the execution of corporate strategies, under the supervision ...

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Return On Investment Increased Remarkably

02 Nov 2017

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In the face of such a complex macro-economic background, the guarantee industry is experiencing a profound change. China Banking Regulatory Commission, as the competent authority overseeing guarantee industry, has preliminarily established a system framework for industrial regulation and prudent supervision and completed the rectification of financing guarantee institutions. Progress has been made in setup of ...

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Higher Educating Has Faced Series Of Changes

02 Nov 2017

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ABSTRACT The UK higher educating has faced a series of changes in funding. With the introduction of fees payments in 1998 came some challenges to the students. The cost of higher education has been on the rise. Currently, universities are charging up to £9,000 for education. This has affected the demand for higher ...

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Destructive Earthquakes Have Happened

02 Nov 2017

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1. Introduction ...

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Maximising Value To The Entrepreneur

02 Nov 2017

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Chapter 12 Entrepreneurial Finance "I’d say it’s been my biggest problem all my life... it’s money. It takes a lot of money to make these dreams come true." Walt Disney Learning Objectives After reading this chapter you should:- Understand the centrality of maximising value to the entrepreneur to the nature of entrepreneurial finance and recognise ...

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What Valuation Models Do Analysts

02 Nov 2017

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Name Institution Affiliation Introduction Valuation models is a way in which the worth of a choice can be calculated or estimated using various quantitative skills which are based on the risk concept and unbiased pricing. A valuation model is an important analytic tool for investors and various companies. This has made it a considerable factor ...

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The Oxygen Of An Organization

02 Nov 2017

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Cash is the oxygen of an organization, without which all vital parts of a business would have died. A lump occurs when cash fails to flow properly, and this affects adversely the organization. Failure to find remedy to that may leave the business in a serious condition. Nowadays, one of the major dilemmas of many ...

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Insurance Is A Practice Of Exchanging

02 Nov 2017

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Insurance Company is a business; it is obvious that the rate charged should be adequate and must cover losses and expenses and allow for a profit otherwise the insurance company would not be successful. The principle of assigning premiums according to the underlying risk is an essential element of actuarial science. Based on the proportional ...

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The Hochiminh Stock Exchange

02 Nov 2017

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On May 11th, 2007, the Prime Minister signed Decision No.559/2007/QD-TTg to convert HCMC Securities Trading Center (HoSTC) to Hochiminh Stock Exchange (HOSE). HOSE, a State owned legal entity, has a private seal and a private account and runs as a limited company with functions and duties as follows: I. The Hochiminh Stock Exchange shall have ...

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Report On Global Hardwood Corporation

02 Nov 2017

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By Student’s Name Instructor’s Name Course Details April 15, 2013 A report on the current financial practices of GHC, the risks, threats, shortcomings and inefficiencies and recommendations for improvement Global Hardwood Corporation started as a family run business but now has grown to be a multinational company listed in London, on the Alternative Investment Market. ...

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Challenges Facing Health Insurance

02 Nov 2017

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The insurance industry was in serious trouble long before the global financial crisis. The current crisis has just helped to worsen a situation that has already been bad. The industry and especially general business has been on the path to self-destruction (IRA report 2011). The general insurance business cannot be sustainable with underwriting losses that ...

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When To Use Financial Risk Management

02 Nov 2017

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Introduction 5-6 Risk management 7 When to use financial risk management 8 Risk modeling 9 Market risk 10 Methods of measuring risk 11-13 Measuring market risk 13-14 Market risk management alternatives 15-18 Credit risk 19-22 Credit strategy 22-23 Credit risk management 24 Measuring credit risk 25 Abu Dhabi Islamic bank background 26 ADIB risk management 27-32 Conclusion 33 References and appendix 34 Project Proposal In this project I will talk about ...

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Recent Performance Of Chinese Capital Market

02 Nov 2017

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The two stock exchanges in mainland China, the Shanghai Stock Exchange and Shenzhen Stock Exchange, were established in 1990 and 1991, respectively. Chinese financial markets are increasingly exposed to international companies and Chinese capital market has been performed an increasingly important role in global financial markets. The Chinese stock market has experienced remarkable growth. Error: ...

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Look At Overview Of Banking Crisis

02 Nov 2017

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Banks are disposed to many forms of risk which have triggered occasional systemic crises. The risks include liquidity risk where many customers may requests excessive withdrawals, credit risk which the borrowers may not repay to the bank, and interest rate risk, there is possibility the bank will loss, if interest rate increase which force it ...

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Acquisition Of Abbey National Plc By Banco Santander

02 Nov 2017

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By Student’s Name Instructor’s Name Course Details April 8, 2013 Acquisition of Abbey National plc by Banco Santander Introduction Mergers and acquisitions (M&A) have become an integral part to ensuring business continuity. To many firms, mergers and acquisition is a major source of external business growth once the organic growth of the firm reaches its ...

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Experience For Invest In Stock

02 Nov 2017

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Student Name:Ying Ruyao : Student ID: 1005006721 : Matriculation No. :20048157 Date : 15-04-2013 Word Count: 1412 : 1.Introduction This report illustrate portfolio construction and performance, and the first part analyse our group funds performance; The second part ...

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The Information Gathering And Accounting And Business Techniques

02 Nov 2017

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Introduction: This report is prepared to analyze the business and financial performance of ‘Lucky cement’ and its competitor ‘Pioneer cement’ for the period of 2010 to2012. Reasons for choosing the Topic and the company: It was very difficult and confusing for me to select the topic for my research and analysis project. I consulted the ...

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Potential Market For Asian Cement Co Ltd In India

02 Nov 2017

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We have taken the cement industry as our GCSR report of MBA SEM-4.We has done an analysis of the cement industry in South Korea. In our project we have considered various factors affecting the cement industries import-export policies. Our study starts with the introduction to cement industry in south Korea and the company which we ...

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Investigate The Effect Of Economic

02 Nov 2017

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Chapter 1 Introduction 1.0: Introduction This chapter will be cover about introduction of the research. Section 1.1 discussed about background of study. Section 1.2 described about problem statement of the study. Section 1.3 discussed about question of the study. Section 1.4 discussed about objective of study. Section 1.5 will be discussed about scope of study. ...

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Islamic Banking And Mutual Funds

02 Nov 2017

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1. INTRODUCTION Introduction iThe tale goes back to cover the Nineteenth millennium, when the process is alon with money to get reasons started in European countries in 1868. Similar methods were revealed until the time of the red sea and the Phoenicians, when they tried to reduce the threats by promoting stocks of caravans and ...

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The Prudential Assurance Malaysia Berhad

02 Nov 2017

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CHAPTER 1 INTRODUCTION It is important to invest our savings in a meaningful way for economic development. How much money do people invest out of their total savings? How much frequency of their investments? Which financial instruments they invest and risk aversion that they show in their investment behavior? People should be aware of the ...

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Why Is Switzerland So Rich

02 Nov 2017

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With the researches we have done so far, a few facts and figures about Switzerland and its economy have come up in highlights. Firstly, it seems that Switzerland is a prosperous and stable country as its economic situation appears to be strong and wealthy. Its unemployment rate is one of the lowest in Europe ...

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Characteristics Of The Banking Sector

02 Nov 2017

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ASB - 4407 Individual report Performance of banking sector of China in recent years Subhash Malhotra, abp0b2 500325218 Bangor Business school Bangor university Abstract The banking sector of China still follows its traditional methods and beliefs. The government still has the control of the banking sector China. Unlike other banking sectors the china's banking sector ...

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Development Of Corporate Governance

02 Nov 2017

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The problem of corporate governance is not a problem that is not new in the business and economy had already been said by Adam Smith. This is the conflict of interest arising in the separation between ownership and management. This conflict is deepened from mid 1940s, with the acceleration of the process of globalization, driven ...

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Comparing Swedish And American Governement Policies

02 Nov 2017

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1 Introduction There is hardly any dispute that the current U.S-led financial crisis can be characterised as a ‘once-in-a-generation’ economic crunch. Although the critical stages of the crisis have passed, the concern among politicians and the general public is that the recession may linger indefinitely. In times like these, politicians and policy makers have all the reason ...

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The History And Development Of Corporate Governance

02 Nov 2017

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Investment & Portfolio Borja Gómez Tejera - 10284001 abstract The aim of this report is to discuss the history and development of good Corporate Governance. Discuss the history and development of corporate governance According to the famous Australian banker, James Wolfensohn, "the governance of corporations is now as important in the world economy as ...

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Increasing Of The Subprime Mortgage Market

02 Nov 2017

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U.S. house price increase substantially since 1990. The Standard Poor’s Case-Shiller Home Price Indices shows a significantly larger increase in house price that starting in 1988 and it peaked in 2006. Between 1997 and 2006, U.S. house price increased by 124% ("Economist") Lots of things help to bring up the house price. Under the ...

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The Influence Of The Different Exchange Rate

02 Nov 2017

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regimes on a macroeconomic level. Student name: Martijn Boesser Student number: 2519782 Contact e-mail: [email protected] Thesis supervisor: Xiaoyu Shen Faculty: FEWEB, Pre-master Business Administration (Financial management) Summary Introduction Exchange rates have always been a point of discussion. Almost everyone in the world has been confronted with exchange rates. Whether this is on a holiday while taking money from the ...

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The History Of The Federal Reserve

02 Nov 2017

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Furthermore, investment bankers were one of the causes that led to the financial crisis. The extent of a bank’s commitment, which was mainly assessed in term of prudent standard fail translate into action. Bank commitment failed to limit banks risk to carry cost of the loan being securitized, or to securitize being distributed to investor, ...

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Board Watching Out For You

02 Nov 2017

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Abstract This paper examines the relation between the performance of mutual funds and the board of directors effectiveness in disciplining underperforming funds and safeguard shareholder interest. Former SEC chairman Arthur Levitt commented: "Being on a mutual fund board is the most comfortable position in corporate America". Investor advocates say mutual funds allow too many directors ...

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Analysis Of Indian Stock Market

02 Nov 2017

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Analysis of indian stock market 1 Table of Contents 2 Executive Summary 3 Literature Review (I): Integration of India’s stock market with global and major regional markets 4 Literature Review (II):Effect of Macroeconomic Variables on Stock Market Returns For Four Emerging Economies: Brazil, Russia, India, And China 6 Literature Review (III): Factors Affecting Stock Prices in the UAE Financial Markets 8 ...

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The Capital Structure Of The Firm

02 Nov 2017

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CHAPTER 1 Introduction Background Studying firm’s capital structure is important as it plays important role in creating value for the firm via the effect tax, information asymmetry, and agency cost. Besides, financial theory also has been used by firms to choose the best composition of capital structure that enhances the firm’s value. Therefore, study on ...

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Working Capital Management And The Cash Holding

02 Nov 2017

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C:\Users\test\Desktop\images.jpg Dissertation submitted towards the MBA in Finance The relationship between Working capital Management and the cash holding of Banks in Mauritius Sumit Kumar Ojha ID- 4613178 I hereby declare that this work has not been previously accepted in substance for any degree and is not being concurrently submitted by another candidate for any degree. ...

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Impact Of Microfinance Institutions On Smes In Kenya

02 Nov 2017

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EVIDENCE FROM MFI’S IN NAIROBI COUNTY BY ANTHONY KENNEDY GITAU UNITED STATES INTERNATIONAL UNIVERSITY SPRING 2013 IMPACT OF MICROFINANCE INSTITUTIONS ON SME’S IN KENYA EVIDENCE FROM MFI’S IN NAIROBI COUNTY BY ANTHONY KENNEDY GITAU A Research Proposal Submitted in Partial Fulfillment of the Requirements for the Award of a Bachelors Degree in International Business Administration ...

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The Bank Of England As A Lender

02 Nov 2017

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A lender of last resort within the United Kingdom is essential in order to preserve a balanced financial system. The Bank of England developed into a central bank by adopting the underlying principles of a lender of last resort. The bank was established in 1694 and immediately two years after its creation it experienced its first ...

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Research On The Origins Of Market Crisis

02 Nov 2017

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At This point, it would be surprising to ask an average person the reason why this economical situation is in bad shape. Of course we should be considering the many diverse opinions on the subject from individual A to individual B. Some will say it is the government’s fault; it is always playing against the population ...

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Relationship Between Exchange Rate And Equity Market

02 Nov 2017

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Exchange rate is the value of one currency in regards to the other currency. It can also be described as the worth of foreign currency in regards to host currency (Khan, Ahmad and Abbas, 2011). Exchange rate as a reflector of a currency volatility is monetary factor that influence prices of shares similar to inflation ...

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Increasing Cost Effective Insurance And Risk Relocate Resolution

02 Nov 2017

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[Year] [Type the document title] [Type the document subtitle] [Type the author name] Background and History FM Global provides inclusive global marketable and business possessions insurance, engineering-driven endorsement and risk management resolutions, revolutionary property thrashing anticipation investigate and punctual, specialized claims management. As a shared company our goods and services straight sustain our clients generally ...

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The Global Use Of Derivatives

02 Nov 2017

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Lecturers Name: Dr. Marion Storm Module and degree program: Financial Markets/ Msc Accounting and financial management Name: Sa'ad Al-Aref Introduction "Large amounts of risk have become concentrated in the hands of relatively few derivatives dealers ... which can trigger serious systemic problems" (Buffet, 2003), as Buffet views derivatives as time bombs for those who deal ...

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The Travel And Tourism Industry

02 Nov 2017

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BTEC QCF Level 5 HND in Travel and Tourism Industry Unit 3: Finance and Funding in the Travel and Tourism Industry Student Name: Student ID: Word Count: 3195 Table of Contents Introduction The following report was prepared with the intention to give insights to the different aspects of finance of a firm, specifically a company ...

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Effect Of Corporate Strategy And Capital

02 Nov 2017

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Abstract The finance literate has widely discussed two important relationships: (1) Corporate strategy and firm performance (2) Capital structure and firm performance However, most studies ignore the combined effect of corporate strategy and capital structure on firm performance. Our study tries to tackle this issue and uses sample from the listed companies in Pakistan which ...

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The Role Of Company Financial Characteristics

02 Nov 2017

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MARNELAKIS EMMANOUIL (ID: 683684) SME definition According to the EU, "An enterprise is considered to be any entity engaged in an economic activity, irrespective of its legal form. This includes in particular, self-employed persons and family businesses engaged in craft or other activities, and partnerships or associations regularly engaged in an economic activity". Furthermore, an ...

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Role Of Independent Directors In The Changing Business

02 Nov 2017

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Abstract: The literature on corporate governance and various codes emphasis that the Board of directors should provide direction to the company, evaluate and approve strategies, appoint and remove the chief executive officer and decide the compensation for him and other members of the top management. While an Independent Director should focus on the adequacy and ...

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Funds Board Watching Out

02 Nov 2017

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Abstract This paper examines the relation between the performance of mutual funds and the board of directors effectiveness in disciplining underperforming funds and safeguard shareholder interest. Former SEC chairman Arthur Levitt commented: "Being on a mutual-fund board is the most comfortable position in corporate America". Investor advocates say mutual funds allow too many directors to ...

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The Financial Services Environment

02 Nov 2017

5 (5 )

The Financial Services Environment You need to clearly illustrate why the organisation needs to embrace technological innovation. Being an early adopter of new technologies always is a more costs but pays higher dividend returns. Made by : Elysia Ann Gauci – class 2G Table of Contents Title Sheet ___________________________________________________________ Page 1 Table of Contents ______________________________________________________ ...

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Capital Structure Effect On Islamic Banking Performance

02 Nov 2017

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TABLE OF CONTENTS Islamic banking can be defined as a system of banking that complies with Islamic law also known as Shariah law. Islamic banking contracts are the back bone to the Islamic banks’ products and services. Mutual risk and profit sharing between parties are the fundamental principles that govern Islamic banking, while the assurance ...

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Summary Of Australias Direct Foreign Exchange

02 Nov 2017

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Programmed Maintenance Group is a result of the vision of two men; Norman Miles, the founder of Programmed maintenance Services in 1951 and John Whittle, founder of Integrated Workforce in 1992. Programmed arrange people, tools and expertise help businesses grow. The company’s business model is built around the ability to recruit, maintain and deploy a ...

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Banking Is A Crucial Financial System

02 Nov 2017

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Introduction Banking is a crucial financial system in an economy. Modern economy is very much depends on the banking system because of increasing banking habits of people. It plays an important role in the development of the economy as money movement is mainly through banks. Banks are important aspects of any economic system, providing financial ...

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The History Of The Modern Business World

02 Nov 2017

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The world of finance is no exception. Once hindered with barriers to trade, we are now seeing a global market of securities; that play a key role to drive whole economies to seek growth and prosperity for the current and future generations. The S&P 500 is one of the most commonly used benchmarks for the ...

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Methodologies Of Portfolio Credit Risk Models

02 Nov 2017

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Source: Kealhofer and Bohn (2001) To explain it further, Kealhofer and Bohn (2001) assert that shareholders of a firm can be seen as holders of a call option on the firm’s asset value with a strike price equal to its liabilities. So, the shareholders can choose to exercise the option and pay the debt value ...

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The Banking And Financial Services Sector

02 Nov 2017

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EXECUTIVE SUMMARY My research was conducted by using survey and interview from various employees of ALLIED BANK LIMITED (ABL) related to the effectiveness of practices such as recruitment and selection, the performance appraisal, including training and development compensation and benefits and employee relationships and the dissatisfaction of the employees with the performance appraisal methods of ...

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When A Bank Opens An Account

02 Nov 2017

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9.0 Introduction When a bank opens an account of a customer by documentation, a contract is established between the two. Both parties have to follow the terms of the agreement and the laid-down rules, regulations and procedures. John: Do we have to use the word ‘laid-down rules’. Account operations are guided by the internal guidelines ...

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Contractors Lack Of Financial Resources

02 Nov 2017

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Chapter 5 At the initiation phase, there were 73 risk variables which were observed but many of these variables not considered for the research work because either they had the same meaning or they were irrelevant while studying cost overrun. Hence to filter out these risk variables I have taken help of the senior professionals ...

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Convalescing From Decades Of Economic Refuse

02 Nov 2017

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While convalescing from decades of economic refuse and trying to change to an incipient liberated market economy, public universities in Zambia are currently confronted with rapidly increasing enrolment, poor infrastructure, and inadequate government financing (SARUA, 2012; MOE, 2010; World Bank, 2010). The imbalance between high demand for and inadequate supply of advanced education has led ...

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Hedge Policy Of Avon Products Inc

02 Nov 2017

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Avon operates globally, through operations all around the world, and derives app. 83% of its consolidated income from its operations outside of the U.S. One risk connected with Avon’s international operations is that the functional currency for most of its global operations is the appropriate local currency. Because of this, changes in exchange rates may ...

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Empirical Analysis Of Relationship Between Managerial Overconfidence

02 Nov 2017

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Abstract Researches of psychology and behavioral economics show that people's judgment and decision-making are often subject to state of mind and the emotional situation. Business managers show beyond the emotional state of the general level of self-confidence in the business activities, which is called managerial overconfidence. Whether this "irrational" managerial overconfidence is correlated with corporate ...

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The Correlation Between Inventory Management And Profitability

02 Nov 2017

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2.0 INTRODUCTION A review of the existing literature on the subjects of both inventory management and profitability in healthcare brings up very vital theoretical concepts that underpin them. Available literature indicates that a countless number of empirical and academic related research projects have been undertaken with an attempt to explain/establish the relationship between financial performance ...

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Financial Regulation And Supervision Are Equally Important

02 Nov 2017

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protection. Discuss. Wide diversification is only required when investors do not understand what they are doing. What motivates investors in investing their money, rather than saving them or spending them is the safe feeling that while doing so, they will gain, not lose. To guarantee this, investors' money must be protected and safeguarded so ...

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The Explanatory Of Variables

02 Nov 2017

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Chapter 3 Methodology The purpose of this study is to identify the impacts of working capital management on profitability with reference to listed companies in Mauritius. This chapter provides details about the selected companies included in the sample, the variables used and the statistical techniques applied in the investigation. 3.2 Research Design 3.2.1 Quantitative and ...

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Environment Responsibility And Company Performances

02 Nov 2017

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Chapter 1: Introduction This chapter discussed about the introduction of this research. Section 1.1 discussed the overview of the impact of return on asset and return on equity on the environment sector. Section 1.2 discussed about the background of study. Section 1.3 discussed about the problem statement of the study. Section 1.4 discussed about objective ...

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The Prospect Theory Value Function

02 Nov 2017

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Contrary to the classical financial theory, the efficient market hypothesis (EMH, Fama 1960) where investor trade on new information, Fischer Black (1986) introduces "noise" as a factor affecting investor decisions. Investors who are not trading on fundamental data rather on noise factors are known as the "Noise Trader". The concept of noise trader is modelled ...

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Capital Structure Theories Of Capital Structure

02 Nov 2017

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Introduction The review of literature is in three main parts: the theoretical review, empirical review and conceptual framework. The theoretical review presents perspectives on propositions and ideas of some earlier researchers, authors and educators on the theories of capital structure and financial performance measures. The research methodology, findings and recommendations of some researchers in relation ...

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