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Hybrid Securities
  • Language: en
  • Pages: 228

Hybrid Securities

  • Type: Book
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  • Published: 2016-04-08
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  • Publisher: Springer

Hybrid capital securities or 'hybrids' offer various benefits. They offer flexibility equity without shareholder dilution, provide protection to senior creditors, are a stable source of long-term funding for healthy companies, and help insurers and banks meet regulatory and rating agency capital requirements. Risks and features of hybrid securities are expressed in the credit spread of some relatively new financial instruments, but no structural fundamentals exist for to price hybrids precisely. This book proposes a model for the pricing of hybrids. It begins by explaining the concept of hybrids as well as their equity- and debt-like characteristics. Different types of hybrids are presented,...

Contingent Convertible Bonds, Corporate Hybrid Securities and Preferred Shares
  • Language: en
  • Pages: 243

Contingent Convertible Bonds, Corporate Hybrid Securities and Preferred Shares

  • Type: Book
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  • Published: 2019-06-17
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  • Publisher: Springer

This book is a comprehensive guide to the new generation of hybrid securities: subordinated and perpetual bonds with deferrable coupon first issued around 2003, and the youngest member of the hybrids family named CoCos (contingent convertibles) being a product of Basel III or European Union CRD IV regime (2014). Contingent capital constitutes a contractual recapitalization mechanism for troubled financial institutions. An increasing number of European banks have issued CoCo bonds in order to bolster their capital ratios. Following the EU pattern, CoCos issues have become increasingly popular within banks in Asia and the Pacific. The EU regulatory treatment of the contingent convertibles issued by banks and insurers together with bank bail-in instruments is at the forefront of the book. Furthermore, the book provides an overview of hybrids pricing and risk assessment approach and covers the non-voting preferred stocks as another hybrids class.

The Pandemic in Central Europe
  • Language: en
  • Pages: 212

The Pandemic in Central Europe

This book studies the different models adopted by contemporary states in Central Europe in fighting the SARS-CoV-2 virus. With thorough analysis of different results and impacts of governmental policies, the authors examine the direction of the global economy after the pandemic ends. The volume: Analyzes the risks and effectiveness of the policy strategies taken by political regimes within states of central Europe; Probes into the changes in the functioning of post-pandemic society, especially the limitations of human rights due to state coercion and corruption risks; Understands issues related to the law-making process, healthcare policy, digitisation of state institutions and key processes...

Transfer Pricing and Financing
  • Language: en
  • Pages: 261

Transfer Pricing and Financing

  • Categories: Law

In recent years, the interpretation and implementation of transfer pricing regulations of intra-group transactions involving financing functions increased exponentially as one of the main priorities of both taxpayers and governments. This topic has also attracted the attention of international organizations since 1972, whereby an extensive guidance has been rendered by the OECD in the Transfer Pricing Guidance on Financial Transactions that became Chapter X of the OECD Transfer Pricing Guidelines in February 2020. Not long after, the United Nations included these topics in Chapter 9 of its Practical Manual for Developing Countries in 2021. This book’s comprehensive approach to the practica...

Verlustausgleich und Risikotragung
  • Language: de
  • Pages: 613

Verlustausgleich und Risikotragung

  • Categories: Law
  • Type: Book
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  • Published: 2019-04-23
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  • Publisher: Mohr Siebeck

Als zentrale Schlussfolgerung aus der Finanzmarktkrise gilt, dass das zu den Eigenmitteln der Banken zahlende "Hybridkapital" deren destabilisierende Effekte nicht abgemildert, sondern verstarkt habe. Jan F. Hellwig nimmt diesen Befund zum Anlass, sich ganz grundlegend mit der Frage auseinanderzusetzen, was "Eigenmittel" im Sinne des Bankaufsichtsrechts sind. Anhand der regulatorischen Behandlung schuldrechtlicher Risikokapitalinstrumente arbeitet er einzelne Entwicklungsstadien des heutigen Begriffsverstandnisses heraus und setzt sie in Bezug zu den okonomischen Zielvorstellungen des Gesetzgebers. Er zeigt auf, dass sich in dem Eigenmittelbegriff verschiedene Ideen des Phanomens "Eigenkapital" vereinigen. Dies sieht er nicht nur als Grund fur einen mehrdimensionalen Begriffsinhalt, sondern zugleich auch als Ursache fur die meisten Missverstandnisse, die uber die Eigenmittelregulierung bestehen.

Finanzmarktstabilisierung und Anlegereigentum
  • Language: de
  • Pages: 401

Finanzmarktstabilisierung und Anlegereigentum

  • Categories: Law
  • Type: Book
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  • Published: 2019-07-05
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  • Publisher: Mohr Siebeck

Wahrend der globalen Finanzkrise sahen sich Hoheitstrager in vielen Staaten veranlasst, zur Wiederherstellung der Finanzmarktstabilitat in individuelle Rechtspositionen von Eigen- und Fremdkapitalgebern sowie Staatsglaubigern einzugreifen. Einen zentralen Prufstein der gerichtlichen und schiedsgerichtlichen Aufarbeitung dieser Eingriffe bilden in allen untersuchten Rechtsordnungen verfassungs- und vlkerrechtliche Garantien des Privateigentums. Auf dieser Grundlage erschlieat Michael W. Muller die strukturbildende Funktion des Eigentums fur das offentliche Finanzmarktrecht. Dabei zeigt er, dass das Institut grund- und menschenrechtlichen Eigentumsschutzes in der Lage ist, den Konflikt individueller Anlage- und kollektiver Stabilitatsinteressen theoretisch abzubilden. Durch seine rechtsvergleichende Analyse gewinnt der Autor Prinzipien fur den hoheitlichen Umgang mit Finanzkrisen, die Gegenstand einer internationalen Verstandigung sein konnten.

Os Instrumentos Financeiros - 4a Edição
  • Language: pt-BR
  • Pages: 562

Os Instrumentos Financeiros - 4a Edição

  • Categories: Law
  • Type: Book
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  • Published: 2021-01-01
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  • Publisher: Leya

Os Instrumentos Financeiros são o novo conceito-chave do Direito do Mercado de Capitais do séc. XXI, tanto em Portugal como no estrangeiro. O presente estudo tem por objeto a análise da noção, características e regime legal deste novel instituto juscomercial, bem assim como das suas principais espécies, a saber: os instrumentos mobiliários (v.g., ações, obrigações, unidades de participação, "warrants" autónomos, direitos destacáveis, etc.), os instrumentos derivados (v.g., futuros, opções, "swaps", derivados de crédito, contratos diferenciais, "forwards", etc.), os instrumentos monetários (instrumentos interbancários, certificados de aforro, certificados de depósito, bilhetes de tesouro, papel comercial, etc.) e ainda outros instrumentos financeiros (maxime licenças de emissão).

Bibliografia zawartości czasopism
  • Language: pl
  • Pages: 716

Bibliografia zawartości czasopism

  • Type: Book
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  • Published: 2002
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  • Publisher: Unknown

None

Finansowe aspekty rozwoju polskiej gospodarki
  • Language: pl
  • Pages: 292

Finansowe aspekty rozwoju polskiej gospodarki

  • Type: Book
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  • Published: 2007
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  • Publisher: Unknown

None

Hungarian R&D Articles
  • Language: en
  • Pages: 290

Hungarian R&D Articles

  • Type: Book
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  • Published: 2003
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  • Publisher: Unknown

None