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A
Palgrave Macmillan, 2016. — 126 p. — ISBN: 978-3319339900. This book addresses contemporary empirical issues in Islamic stock markets including volatility, efficiency and Sukuk defaults. The studies contained within this book consider a combination of pure Islamic stock markets and comparative studies, with reference to their conventional counterparts. The authors provide...
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Fabozzi Series. John Wiley & Sons, 2002. – 513 p. This book has two broad objectives. The first is to introduce the reader to the various types of alternative assets that exist in the financial markets. In this respect, parts of this book are more descriptive in nature. Second, this book provides chapters with original research with respect to alternative assets. In this respect,...
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Wiley, 2018. — 324 p. — (Wiley Finance). — ISBN: 978-1-119-21881-4. Ensure Basel III compliance with expert analysis specific to Islamic Finance Islamic Capital Markets and Products provides a thorough examination of Islamic capital markets (ICM), with particular attention to the products that they offer and the legal and regulatory infrastructure within which they operate....
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Palgrave Macmillan, 2017. — 127 p. — ISBN: 978-3319478029. This book explores the volatility, efficiency and integration of stock markets in Islamic countries. It presents recent trends, growth and performance, before moving on to explore how patterns change during different business cycles for short-term and long-term investors, and ranks the efficiency of the various markets....
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Foreign Investment and Political Regimes The Oil Sector in Azerbaijan, Russia, and Norway Author: Oksan Bayulgen , University of Connecticut Publisher: Cambridge University Press, 2010 Drawing on three in-depth case studies of oil-rich countries and statistical analyses of 132 countries over three decades, Bayulgen demonstrates that the link between democratization and FDI is...
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Palgrave Pivot, 2015. — 111 p. — ISBN: 978-1137361295. The alternative investment market (AIM) has seen rapid growth over its 19 years, and has emerged as the market of choice for smaller, newer companies, both in the UK and abroad. However, it has often had a volatile reputation among investors, who have commonly perceived stock in the AIM as more risky than the main market....
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Palgrave Macmillan, 2015. — 417 p. — ISBN: 978-1137391094. Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the 2006-07 market bubble, the development of institutional investors, the stock index futures market, stock sector performance, corporate governance of listed firms and...
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Palgrave Macmillan, 2015. — 336 p. — ISBN: 978-1137464682. Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the 2006-07 market bubble, the development of institutional investors, the stock index futures market, stock sector performance, corporate governance of listed firms and...
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Hong Kong University Press, 2018. — 256 p. — ISBN: 978-9888455843. In this groundbreaking guide, former investment banker Philippe Espinasse explains the process of gathering cornerstone investors in connection with IPOs and other equity offerings. Using his trademark simple and jargon-free language, he details the targeting strategies, documentation, marketing, and allocation...
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Palgrave Macmillan, 2016. — 157 p. — ISBN: 978-1137594600. This book proposes that price volatility and speculation in the oil market originate from a decades-long process of financialisation. The author challenges mainstream critical accounts of the market that typically invoke the notion of a global oil shortage and so-called ‘peak oil’ arguments. Instead, he argues that the...
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Springer, 2014. — 124 p. — ISBN: 978-8132215899. India is one of the major emerging economies of the world and has witnessed tremendous economic growth over the last decades. The reforms in the financial sector were introduced to infuse energy and vibrancy into the process of economic growth. The Indian stock market now has the largest number of listed companies in the world....
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Guida per gli operatori italiani. — 2016. — 37 p. Introduzione dell’ambasciatore Ragaglini . PerchÉ Investire in Russia? Il piano quinquennale della Federazione Russa sull’import substitution. Istituti giuridici per operare in Russia. La Joint Venture. Società a regime fiscale agevolato. Il Contratto Speciale di Investimento. Convenzione contro le doppie imposizioni...
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Springer, 2016. — 189 p. — ISBN: 978-9811008672. The book presents a comprehensive view of the Indian equity markets over the past two decades (1994-2014). Equity markets constitute the most important segment of stock exchanges; in fact, the status of equity returns is, by and large, considered as a barometer of the state of a country’s economy. Returns earned by the equity...
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Wiley, 2013. — 888 p. — ISBN: 978-1118247136. A comprehensive look at the essentials of Islamic capital markets Bringing together theoretical and practical aspects of capital markets, Islamic Capital Markets offers readers a comprehensive insight into the institutions, instruments, and regulatory framework that comprise Islamic capital markets. Also exploring ideas about money,...
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Palgrave Pivot, 2015. — 111 p. — ISBN: 978-1349507009. In the last two decades the Tokyo Stock Exchange implemented several important reforms in regulations, market trading mechanisms, and IT trading systems. In this book we analyze the impact of the evolution of the Tokyo Stock Exchange (TSE), at the same time discussing reforms in stock trading by related accounting standards...
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Investment Policy Reviews. OECD Publishing, 2011. - PP. 29-56. The series examines countries’ investment policies and reflects the OECD’s mission to help governments enhance their investment climate through peer learning and the sharing of best practices. This review looks at the Ukraine. Foreign Direct Investment Regime Guarantees for protection of foreign investment but...
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New York: Wiley & Sons, Inc. , 2002. — 510 p. This book is an authoritative guide to the accounting and disclosure rules for financial institutions and instruments. It provides guidance from a “fair value” perspective and demonstrates the simplest and most natural measurement basis for reporting financial instruments, as is relevant for thrifts, mortgage banks, commercial...
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Springer, 2019. — 102 p. — ASIN B07QLCLDZW. This book explores the integrity of equity markets, addressing such issues as the exchange vs. customer perspective on price discovery and the ways market participants deal with key regulatory concerns. Do market practitioners pass the integrity test? How does “market integrity” play out globally? What is the overall veracity of the...
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Palgrave Macmillan, 2015. — 201 p. — ISBN: 978-1137507266. Until now, most socially responsible and impact investments have centred on developed markets, with growth potential and investment opportunities in the frontier economies of countries such as Cambodia, Laos, Myanmar, and Vietnam being mostly overlooked. While some individuals and organizations have begun to develop...
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Vault Career Guide to Investment Banking is the description of investment bank's main departments, functions and specific which is applicable to its core divisions: M&A, S&T. There is also a review of average compensations in these divisions on every level of career ladder. However this guide is from 2005 year and some salary figures are not applicable.
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Springer, 2014. — 94 p. — ISBN: 978-3658081539. In order to measure the dynamics of flow-performance relationships for a multi-domicile sample, Simon Weiler applies existing flow-performance research methods to a broad set of European equity (UCITS) funds and proves that major findings (performance-chasing behaviour and a convex flow-performance relationship) also hold true in...
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