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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This book examines the international political economy of China’s exchange rate policy making from theoretical and empirical perspectives. It identifies the limitations in the existing Economics studies on the RMB exchange rate and the research gap of the Comparative Political Economy (CPE) and International Political Economy (IPE) approaches to exchange rate politics. Meer
Arye L. Hillman There has been much economic theorizing directed at providing the politician with guidance in the design of policies that will amend market outcomes in ways that achieve specified efficiency or equity objectives. Meer
This book argues that the proliferation of global trade and the increasing power of free trade arrangements leave income taxes as one of the few remaining measures that can potentially be used for protectionist purposes. Meer
This book covers topics that are at the intersection of business ethics and governance as they pertain to entrepreneurship and finance. It is the first focused work that links entrepreneurship and finance to governance and business ethics, rather than explore them separately. Meer
This volume is a milestone on our journey toward developing a more comprehensive understanding of the underpinnings of corporate financial performance. Meer
This book provides advanced analytics and decision management techniques and tools for developing sustainable competitive advantages in the studied target context. Meer
This book mainly addresses the general equilibrium asset pricing method in two aspects: option pricing and variance risk premium. First, volatility smile and smirk is the famous puzzle in option pricing. Meer
This book includes selected papers submitted to the ICADABAI-2017 conference, offering an overview of the new methodologies and presenting innovative applications that are of interest to both academicians and practitioners working in the area of analytics. Meer
The Papers collected in this volume are those presented at the tenth Collo quium arranged by the Societe Universitaire Europeenne de Recherches Fi nancieres (SUERF), which took place in Vienna in April 1982. Meer
This book serves as a guide to strategic management accounting. It introduces new and useful concepts on how to collect, analyse, and evaluate options to enable managers to steer corporate directions and write strategic plans for the long-term success of the corporation. Meer
This book provides an insight in the phenomenon of Mergers and Acquisitions (M&A), including the various forms of corporate restructuring. It highlights the importance of M&A as a strategy for faster growth in the corporate. Meer
This book examines tax incentives for investors in start-up companies through a critical analysis of Australia’s early-stage investors (ESI) program, and a comparison of that program with the United Kingdom’s Seed Enterprise Investment Scheme (SEIS) upon which it is loosely modelled. Meer
There may be some readers of this book who are expecting a sort of Mrs Beeton of reinsurance, whose indications if carefully followed will ensure the satisfactory outcome of any reinsurance operation undertaken. Meer
A collection of papers that probes into the major issues that are at the heart of financial market crises. It covers banking topics including the changing nature of intra and inter-bank markets, banking with respect to bank lending behavior, risk and risk-taking, the role of liquidity, and return and maturity transformation issues. 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
Surveys modern literature on financial aggregation and index number theory, with special emphasis on the contributions of the book's two coauthors. This work for financial data researchers and users of central bank data, places emphasis on possible improvements in such data from use of the microeconomic index number and aggregation theory. 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
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