Produkt zum Begriff Financial:
-
Financial Times Handbook of Financial Engineering, The
The Financial Times Handbook of Financial Engineering clearly explains the tools of financial engineering, showing you the formulas behind the tools, illustrating how they are applied, priced and hedged. All applications in this book are illustrated with fully-worked practical examples, and recommended tactics and techniques are tested using recent data.
Preis: 92.01 € | Versand*: 0 € -
Financial Times Guide to the Financial Markets
From bestselling author Glen Arnold, this is a jargon-busting book that describes how financial markets work, where they are located and how they impact on everyday life. It assumes no specialised prior knowledge of finance theory and provides an authoritative and comprehensive run-down of the workings of the modern financial system. Using real world examples from media such as the Financial Times, Arnold gives an international perspective on the financial markets with frequent comparisons in the workings of major financial centres such as the Bank of England and the City, the Federal Reserve System and Wall Street, the Japanese Central Bank, the European Central Bank and IMF and World Bank. The full text downloaded to your computer With eBooks you can: search for key concepts, words and phrases make highlights and notes as you study share your notes with friends eBooks are downloaded to your computer and accessible either offline through the Bookshelf (available as a free download), available online and also via the iPad and Android apps. Upon purchase, you'll gain instant access to this eBook. Time limit The eBooks products do not have an expiry date. You will continue to access your digital ebook products whilst you have your Bookshelf installed.
Preis: 27.81 € | Versand*: 0 € -
Financial Accounting
Gain a deeper understanding of the Financial Accounting principles with a leading text written by an expert in the field.Financial Accounting, 8th edition by Pauline Weetman, is a core textbook written by an expert teacher in the field that will offer you the resources you need to explore and acquire a deeper understanding of a wide range of concepts around the discipline.This text is ideal for undergraduates in Business Studies degrees, Undergraduates in Accounting courses, students studying Accounting for MBA and Postgraduate courses, and Professional courses introducing Accounting for the first time.This edition focuses on retaining all the features that have contributed to its popularity, including accounting equations, a clear and accessible writing style, a range of student activities throughout the book, and the extensive use of real-world case studies, offering you a deeper understanding of the topics.Key features:Definitions and terminology aligned with the 2018 IASB Conceptual Framework.Fully up-to-date with the International Financial Reporting Standards (IFRS).New case studies provide examples from real-world companies.Activities aligned to each chapter section, encouraging students to explore and consider issues from different angles.Experience-driven conversations throughout the book between two managers expanded for this edition and updated with an even greater practical emphasis.Extensive coverage of fair value is provided throughout the text.Exploration of the Strategic Report and Directors' Report.Focus on specific knowledge outcomes with end-of-chapter self-evaluations.Questions testing your understanding are graded according to difficulty.With a strong emphasis on the 2018 Conceptual Framework of the International Accounting Standards Board, this text is an essential resource that will guide you through the 'whys' and not just the'whats' of Financial Accounting.
Preis: 53.49 € | Versand*: 0 € -
Non-financial Risk Management in the Financial Industry
Non-financial Risk Management in the Financial Industry , Managing environment, social and governance (ESG) risk, compliance risk and non-financial risk (NFR) has become increasingly critical for businesses in the financial services industry. Furthermore, expectations by regulators are ever more demanding, while monetary sanctions are being scaled up. Accordingly, ESG, Compliance and NFR risk management requires sophistication in various aspects of a risk management system. This handbook analyses a major success factor necessary for meeting the requirements of modern risk management: an institution-specific target operating model (TOM) - integrating strategy, governance & organisation, risk management, data architecture and cultural elements to ensure maximum effectiveness. Also, institutions need to master the digital transformation for their business model to be sufficiently sustainable for the years to come. This book will offer ways on how to achieve just that. The book has been written by senior ESG, Compliance and NFR experts from key markets in Europe, the U.S. and Asia. It gives practitioners the necessary guidance to master the challenges in today's global risk environment. Each chapter covers key regulatory requirements, major implementation challenges as well as both practical solutions and examples. , Bücher > Bücher & Zeitschriften , Erscheinungsjahr: 20220610, Produktform: Leinen, Redaktion: Gittfried, Norbert~Lienke, Georg~Seiferlein, Florian~Leiendecker, Jannik~Gehra, Bernhard, Themenüberschrift: BUSINESS & ECONOMICS / Finance / Financial Risk Management, Keyword: Handbuch compliance risiko; finanzrisiken; risikomanagement esg; nicht-finanzielle Risiken; übersicht risikomanagement; Handbuch ESG Risiko; risikostrategie esg; risikomanagement compliance; esg risiken; anforderungen risikostrategie banken; handbuch risikomanagement banken; corporate governance; leitfaden risikomanagement; Risikomanagement banken; risikomanagement banken prüfen; prüfung risikomanagement banken; risikomanagement banken buch; Handbuch Risikomanagement; risikostrategie banken; anforderungen risikomanagement banken; risikomanagement buch; risikostrategie compliance; Nachhaltigkeitsrisiken; Compliance Risiken; risikostrategie, Fachschema: Bank - Bankgeschäft ~Kreditwesen - Darlehen - Verbraucherkredit~Geschäft / Kreditgeschäft~Kreditgeschäft~Finanzwirtschaft~Management / Strategisches Management~Strategisches Management~Unternehmensstrategie / Strategisches Management~Ethik / Unternehmensethik~Unternehmensethik~Business / Management~Management, Fachkategorie: Kreditwesen und Kreditinstitute~Bankwesen und Finanzen: Lehrbücher, Handbücher~Strategisches Management~Unternehmensethik und soziale Verantwortung, CSR~Unternehmen und Umwelt, Grüne Unternehmensansätze~Management und Managementtechniken, Thema: Orientieren, Warengruppe: HC/Wirtschaft/Management, Fachkategorie: Bankwirtschaft, Thema: Verstehen, Text Sprache: eng, Seitenanzahl: XXVI, Seitenanzahl: 348, UNSPSC: 49019900, Warenverzeichnis für die Außenhandelsstatistik: 49019900, Verlag: efiport GmbH, Verlag: efiport GmbH, Verlag: efiport GmbH, Länge: 243, Breite: 173, Höhe: 22, Gewicht: 808, Produktform: Gebunden, Genre: Sozialwissenschaften/Recht/Wirtschaft, Genre: Sozialwissenschaften/Recht/Wirtschaft, Herkunftsland: POLEN (PL), Katalog: Gesamtkatalog, Katalog: Internationale Lagertitel, Katalog: internationale Titel, Katalog: Lagerartikel, Book on Demand, ausgew. Medienartikel, Relevanz: 0004, Tendenz: -1, Unterkatalog: AK, Unterkatalog: Bücher, Unterkatalog: Hardcover, Unterkatalog: Lagerartikel,
Preis: 79.90 € | Versand*: 0 €
-
Wie lautet der Präsentationstest für VW Financial Services?
Es tut mir leid, aber ich habe keine Informationen über einen spezifischen Präsentationstest für VW Financial Services. Es ist möglich, dass das Unternehmen einen solchen Test für Bewerber oder Mitarbeiter hat, aber ich kann keine genauen Details dazu geben. Es wäre am besten, sich direkt an VW Financial Services zu wenden, um weitere Informationen zu erhalten.
-
Wie kann man bei PPRO Financial Ltd nicht einfach 30 Euro abheben?
Es ist möglich, dass es bestimmte Einschränkungen oder Bedingungen gibt, die es dir nicht erlauben, einfach 30 Euro von deinem Konto bei PPRO Financial Ltd abzuheben. Dies könnte auf verschiedene Faktoren wie Mindestabhebungsbeträge, Gebühren oder andere Richtlinien zurückzuführen sein. Es wäre am besten, sich direkt an den Kundenservice von PPRO Financial Ltd zu wenden, um weitere Informationen zu erhalten.
-
Welches ist das beste Demokonto für CFD-Trading?
Es gibt viele Anbieter von Demokonten für CFD-Trading, daher ist es schwierig, das beste zu bestimmen. Es hängt von den individuellen Bedürfnissen und Vorlieben ab. Einige beliebte Optionen sind IG, Plus500 und eToro, die alle eine breite Palette von CFDs und eine benutzerfreundliche Plattform bieten. Es ist ratsam, mehrere Demokonten auszuprobieren, um dasjenige zu finden, das am besten zu einem passt.
-
Wie beeinflussen politische Ereignisse den Handel mit Aktien und Rohstoffen an der Börse?
Politische Ereignisse können die Stimmung der Anleger beeinflussen und zu erhöhter Volatilität an den Märkten führen. Entscheidungen von Regierungen oder politische Unsicherheiten können zu Kursausschlägen bei Aktien und Rohstoffen führen. Investoren reagieren auf politische Entwicklungen, indem sie ihre Portfolios anpassen und auf mögliche Risiken reagieren.
Ähnliche Suchbegriffe für Financial:
-
Horngren's Financial & Managerial Accounting, The Financial Chapters, Global Edition
For courses infinancial and managerial accounting.Expanding onproven success with Horngren's accountingHorngren's Financial and Managerial Accounting, The Financial Chapters presents the core contentof principles of accounting courses in a fresh format designed to help today'slearners succeed. As teachers first, the author team knows the importance ofdelivering a student experience free of obstacles. Their pedagogy and contentuses leading methods in teaching students critical foundational and emergingtopics (e.g., data analytics and employability skills) in the field ofaccounting, and concentrates on improving student results all tested in classby the authors themselves. With this in mind, the 7thEdition continues to focus on readability and studentcomprehension and takes this a step further by employing a new theme to helpstudents see how accounting is used as a tool to help businesses makedecisions.Also availablewith MyLab AccountingBy combiningtrusted author content with digital tools and a flexible platform, MyLabpersonalizes the learning experience and improves results for each student.
Preis: 53.49 € | Versand*: 0 € -
Financial Accounting & Reporting
For second year Financial Accounting modules or modules on Financial Reporting on undergraduate and MBA courses. Available with MyLab Accounting Well-structured, informative, and enriched with relevant examples. The coverage of established and contemporary issues within financial accounting and reporting is comprehensive.' Dr Chloe Wu, Lecturer and Assistant Professor in Accounting and Finance, University of Leeds Gain a comprehensive understanding of financial accounting and reporting, and learn to prepare and discuss financial statements The20th edition of Financial Accounting and Reporting by Jamie Elliott and Barry Elliott provides a comprehensive overview of financial accounting and reporting,equipping you with the knowledgetoprepareandcritically discussIFRS compliant financial statements,and introducing you to thecommercial issues surrounding these.Now with enhanced coverage of interpretation of financial statements, ethical issues and accountability,the authors provide essential knowledge for advancing your studies and career. Key features Exercises of varying difficulty including questions from past exam papers of professional accounting bodies Illustrations taken from real-world international company reports and accounts, whichhave been updated for this edition andhelp to demonstrate the applications of key principles in the life of real companies Up-to-date content includingnew materialon accountability,sustainability,ethical problemsand the future of audit services Includesthe latest accounting standards set out intheIFRS,IASandthe Conceptual Framework for Financial Reporting, plus a discussion of theproposed IFRS on General Presentation and Disclosure Improved flowof topics and revised explanations makes the text even easier to follow and use Instructors, pair this text withMyLabAccounting By combining trusted author content with digital tools and a flexible platform, MyLab personalises the learning experience and improves results for each student. MyLabAccountinghas been expanded for this editionto better align with feedback received from accounting course leaders andnowincludes over1600questions that can be assigned to students, including more exercises on accounts preparation for group accounts. Pearson, the world's learning company.
Preis: 53.49 € | Versand*: 0 € -
Corporate Financial Management
Discover more about the essential principles of Corporate Finance, with the ultimate guide coming from a team of leading authors in the field. Corporate Financial Management, 6th edition by Arnold and Lewis is the latest version of this comprehensive guide to the subject, written by leading authors in the financial world. This edition is ideal for students who study the topic either as a standalone subject or as part of their wider studies within business accounting, finance, banking, or economics. The book offers a complete study of the theory and practice in corporate finance, exploring a range of topics, including investment appraisal, risk and return, and sources of finance. It also discusses concepts that involve risk management, including derivatives, giving a unique treatment of corporate value. Accessible and easy to understand, the text is designed to teach you how to make informed, successful financial decisions by offering a variety of real-world case studies that apply important business concepts from theory to action. The current, thoroughly updated edition includes a plethora of existing and updated features that will support your understanding of the concepts presented in each chapter. Key features include: A clear, accessible language that illustrates the financial techniques in practical terms. New Financial Times articles that help you see the relevance between theory and the real world. A presentation of finance as a dynamic subject, that is open to theoretical re-evaluation. A large number of examples and case studies include statistics and data that range from the number of corporate mergers to default rates in corporate bonds. Mathematical explanations that are easy to follow. With a clear layout and a range of additional resources to support your understanding of the key concepts introduced, this must-have book will help you succeed in your studies and prepare you for the real financial world. This title is supported by MyFinanceLab®, an online homework and tutorial system which can be used by students for self-directed study, or instructors who can choose to fully integrate this eLearning technology into the delivery of their course. If you would like to purchase both the physical text andMyLabAccounting search for: 9781292169415 Corporate Financial Management, 6th Edition with MyFinanceLab®. Package consists of: 9781292140445 Corporate Financial Management, 6th Edition 9781292169392 Corporate Financial Management, 6th Edition MyFinanceLab® 9781292169385 Corporate Financial Management, 6th EditionPearsoneText MyFinanceLab® is not included. Students, if MyFinanceLab is a recommended/mandatory component of the course, please ask your instructor for the correct ISBN and course ID. MyFinanceLab®should only be purchased when required by an instructor. Instructors, contact your Pearson representative for more information.
Preis: 53.49 € | Versand*: 0 € -
International Financial Reporting
A focused, user-friendly introduction to international financial reporting International Financial Reporting, 8th edition by Melville employs a practical, applied approach in exploring and explaining the key financial standards. With more than 140 countries in the world now using international financial reporting standards (IFRS® Standards), knowledge of the standards issued by the International Accounting Standards Board (IASB®) is vital to your success in financial accounting. Offering a thorough introduction to international financial reporting, this new edition brings the book completely up-to-date with international standards issued as of 1 January 2022. The title is suitable for second-year undergraduates studying for a degree in accounting and finance and those preparing for examinations for the professional accounting bodies. It explains each standard as clearly and concisely as possible and provides plenty of worked examples and solutions. End-of-chapter exercises feature questions from past exam papers of key professional accountancy bodies to test your grasp of the topics introduced in that chapter. 'Melville's textbook is accessible, comprehensive, reliable, and a pleasure to read.' Dr. Neil Dunne, Trinity College Dublin 'A practical book which takes a very technical subject and breaks it down into concise sections which are easy to follow.' Emma James, Swansea University Pearson, the world's learning company.
Preis: 53.49 € | Versand*: 0 €
-
Wie unterscheidet sich der Handel mit Aktien an der Börse von anderen Anlageformen?
Der Handel mit Aktien an der Börse beinhaltet den Kauf und Verkauf von Unternehmensanteilen, wodurch Anleger am Erfolg oder Misserfolg des Unternehmens teilhaben. Im Gegensatz zu anderen Anlageformen wie Anleihen oder Immobilien sind Aktien volatiler und unterliegen stärkeren Kursschwankungen. Zudem bieten Aktien die Möglichkeit, durch Kurssteigerungen und Dividendenausschüttungen Renditen zu erzielen.
-
Welche Trading-Tools sind besonders effektiv für Anfänger im Online-Handel?
Für Anfänger im Online-Handel sind Trading-Tools wie TradingView, MetaTrader und Robinhood besonders effektiv. Diese Plattformen bieten benutzerfreundliche Oberflächen, um Charts zu analysieren, Trades auszuführen und Marktinformationen zu erhalten. Zudem bieten sie oft kostenlose Schulungsmaterialien und Demokonten für Anfänger.
-
Was sind Derivate und wie dienen sie zur Absicherung und Spekulation auf Finanzmärkten?
Derivate sind Finanzinstrumente, deren Wert von einem Basiswert wie Aktien, Anleihen oder Rohstoffen abgeleitet wird. Sie dienen zur Absicherung, indem sie Anlegern ermöglichen, sich gegen mögliche Verluste aufgrund von Preisschwankungen abzusichern. Gleichzeitig können Derivate auch zur Spekulation genutzt werden, um von erwarteten Kursbewegungen zu profitieren.
-
Welche Trading-Tools sind am effektivsten für die Analyse von Aktien und den Handel an der Börse? Welche Art von Trading-Tools würden Sie empfehlen, um die Volatilität des Marktes zu überwachen und profitable Geschäfte zu tätigen?
Die effektivsten Trading-Tools für die Analyse von Aktien und den Handel an der Börse sind Charting-Software, technische Indikatoren und Nachrichten-Feeds. Ich würde empfehlen, Tools wie Volatilitätsindikatoren, Wirtschaftskalender und Risikomanagement-Tools zu verwenden, um die Volatilität des Marktes zu überwachen und profitable Geschäfte zu tätigen. Es ist auch wichtig, auf dem neuesten Stand zu bleiben und sich fortlaufend über neue Trading-Tools und Strategien zu informieren.
* Alle Preise verstehen sich inklusive der gesetzlichen Mehrwertsteuer und ggf. zuzüglich Versandkosten. Die Angebotsinformationen basieren auf den Angaben des jeweiligen Shops und werden über automatisierte Prozesse aktualisiert. Eine Aktualisierung in Echtzeit findet nicht statt, so dass es im Einzelfall zu Abweichungen kommen kann.