Год выпуска: 0 Автор: Cheng F. Lee Издательство: Страниц: 0 ISBN: 0762308265
Описание
In this issue, there are thirteen high-quality and interesting papers to deal with the issue of Financial Analysis, Planning and Forecasting. Out of these thirteen papers, we can classify them into two major groups i.e. (a) Risk Analysis and (b) Financial Evaluation Models. The Risk Analysis group includes five papers as follows: Time-varying accounting betas and risk estimation for thinly traded stocks: Finnish evidence. Additional evidence on managerial ownership and risk taking behavior in banking industry. A DSS approach to managing the risks of online trading. Estimating exchange rate exposure of U.S. MNC's operating in South America. Analyzing the risks inherent in the Proctor and Gamble-Bankers trust levered swap contract. The financial evaluation models group consists of seven papers as follows: Contextual accrual and cash flow based valuation models: impact of multinationality and corporate rep
Спасибо за курсовик - очень хорошая работа. И все мои требования вы удовлетворили. Возможно, я ещё буду обращаться к Вам, несмотря на то, что это последний курс - мне же ещё нужно писать диплом.