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This proceedings book presents outcomes of the Innovative Economic Symposium – 2020 organized by the Institute of Technology and Business in České Budějovice (VŠTE) in Russia in collaboration with two universities: Financial University under the Government of the Russian Federation (Moscow) and Samara State University of Economics (Samara). The symposium aims to bring together experts and young scientists in economy, management, international relations, finance, marketing, and professional education from Asian and European countries, to share knowledge and experience and discuss issues related to stable economic development, international business, entrepreneurship, Industry 4.0, coope...
The aim of this publication is to identify and apply suitable methods for analysing and predicting the time series of gold prices, together with acquainting the reader with the history and characteristics of the methods and with the time series issues in general. Both statistical and econometric methods, and especially artificial intelligence methods, are used in the case studies. The publication presents both traditional and innovative methods on the theoretical level, always accompanied by a case study, i.e. their specific use in practice. Furthermore, a comprehensive comparative analysis of the individual methods is provided. The book is intended for readers from the ranks of academic staff, students of universities of economics, but also the scientists and practitioners dealing with the time series prediction. From the point of view of practical application, it could provide useful information for speculators and traders on financial markets, especially the commodity markets.
Times of crisis are unexpected and they bring diverse challenges and opportunities for companies, financial markets, and the economy. On one hand, more risk and uncertainties appear, yet on the other hand, it is an opportunity to reorganize and reinvent the company. It is important for businesses to understand ways to deal with uncertainty and risk in times of economic downturn and what financial strategies and tools can be used to eliminate or reduce the potential negative effects. These effects can reach the company’s financial performance, capital structure, as well as cause financial debt and the availability of cash-flow to companies. However, different financial instruments can susta...
The purpose of the Special Issue “Quantitative Methods in Economics and Finance” of the journal Risks was to provide a collection of papers that reflect the latest research and problems of pricing complex derivates, simulation pricing, analysis of financial markets, and volatility of exchange rates in the international context. This book can be used as a reference for academicians and researchers who would like to discuss and introduce new developments in the field of quantitative methods in economics and finance and explore applications of quantitative methods in other business areas.
Bankruptcy prediction is one of the most important research areas in corporate finance. Bankruptcies are an indispensable element of the functioning of the market economy, and at the same time generate significant losses for stakeholders. Hence, this book was established to collect the results of research on the latest trends in predicting the bankruptcy of enterprises. It suggests models developed for different countries using both traditional and more advanced methods. Problems connected with predicting bankruptcy during periods of prosperity and recession, the selection of appropriate explanatory variables, as well as the dynamization of models are presented. The reliability of financial data and the validity of the audit are also referenced. Thus, I hope that this book will inspire you to undertake new research in the field of forecasting the risk of bankruptcy.
The ASEAN Australia Review is the flagship publication of the ASEAN-Australia Strategic Youth Partnership (AASYP). The 2020 edition features sixteen articles from young authors across Southeast Asia and Australia on diverse range of topics centred around the theme of Australia ASEAN Cooperation.
A presente edição dos “Contratos Bancários” atualiza e faz uma revisão geral do texto original, publicado em 2023. Os objetivos da publicação mantêm-se intactos, assim como se mantém inalterada a sua vocação, simultaneamente profissional e académica. Esta obra aborda, de forma integrada e aberta à experiência do contexto financeiro nacional, a dimensão material do Direito Bancário, ou seja, a dinâmica das relações jurídicas, com natureza eminentemente contratual, que se estabelecem entre os Bancos e os seus clientes. A matéria dos Contratos Bancários representa o cerne deste direito bancário material, muito embora não o esgote, uma vez que integra temas como os negócios jurídicos unilaterais, os deveres extranegociais assentes na lei, os deveres legais aplicáveis à relação bancária e as regras de responsabilidade civil do banco.
Předkládaná publikace popisuje procesy podniku v podobě jejich finančního vyjádření. Zároveň nabízí nástroje optimalizace těchto procesů tak, aby se výsledky projevily v plnění hlavního cíle podniku - růstu hodnoty pro vlastníky. Dále nabízí nástroje, kterými plnění hlavního cíle management a vlastníci změří. Zabývá se rovněž aparátem nástrojů finančního řízení podniku, tedy aparátem, který umožní kontinuální zefektivnění chodu podniku. Publikace pojímá finance podniku velmi komplexně. Chápe je v jejich nejširším slova smyslu. Zabývá se vším, co souvisí s penězi a růstem hodnoty pro vlastníky (akcentuje řízení podle cílů jako trend moderního řízení podniku). Publikace je tak komplexní knihou postihující nejen základy podnikových financí, ale prezentuje i velmi pokročilé aspekty řízení financí podniku.