Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
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This book will present a comprehensive view of the risk characteristics, risk-adjusted performances, and risk exposures of various hedge fund indices. Meer
Managers can deploy and manage economic capital more effectively when they understand how their decisions add value to their organizations. Economic Capital: How It Works and What Every Manager Needs to Know presents new ways to define, measure, and implement management strategies by using recent examples, many from the sub-prime crisis. Meer
Clearing, Settlement, and Custody, Third Edition, introduces the post-trade infrastructure and its institutions. Author David Loader reduces the complexity of this environment in a non-technical way, helping students and professionals understand the complex chain of events that starts with securities trading and ends the settlement of cash and paper. Meer
“This well-organized book shows what a typical life in real estate is like so that newcomers can decide whether the field is right for them. It also offers advice on how to grow real estate investments for people who are already in the industry. Meer
First book to explain in detail how some events can cause large price moves in markets and how traders can profit from these events. Focuses on the lessons traders can learn from past market reactions to internal and external market catalysts so as to improve their future trading. Meer
On the third Friday of every month, equity and index options expire. As that moment approaches, strange market forces and price distortions arise: behaviors that have been little understood by investors, until now. Meer
Most insurers fail to fully exploit their greatest asset: data. Why? Because their use of analytics is largely limited to stovepiped operational areas such as underwriting, claims, marketing, or risk management. Meer
This monograph is practically oriented, presenting a survey and explanation of credit insurance services for protection of short-term trade receivables primarily against commercial risk of insolvency and protracted default. Meer
Many high net worth individuals are interested in diversifying their portfolios and investing in collectibles. A collectible is any physical asset that appreciates in value over time because it is rare or desired by many. Meer
An Introduction to Real Estate Finance serves as the core of knowledge for a single-semester first course in real estate finance. Unlike other real estate finance textbooks, with their encyclopedic but often stale details, it combines a short traditional text with a living website. Meer
More efficient credit portfolio engineering can increase the decision-making power of bankers and boost the market value of their banks. By implementing robust risk management procedures, bankers can develop comprehensive views of obligors by integrating fundamental and market data into a portfolio framework that treats all instruments similarly. Meer
This overview of project finance for the oil and gas industry covers financial markets, sources and providers of finance, financial structures, and capital raising processes. Meer
Becoming a Global Chief Security Executive Officer provides tangible, proven, and practical approaches to optimizing the security leader’s ability to lead both today’s, and tomorrow’s, multidisciplined security, risk, and privacy function. Meer
“The one thing readers should understand is that Jeff Augen is truly dedicated to educating traders at all levels. Instead of handing out answers, Jeff wants to make sure they understand the concepts he is teaching. Meer
The text and activities format allow the instructor to use this book as a stand-alone text for the first accounting course.
This text helps students analyze real company financial statement information. Meer
Today's equity markets have become a gambling casino where stock prices are often unrelated to the underlying performance of the companies they represent. Meer
This self-contained module for independent study covers the subjects most often needed by non-mathematics graduates, such as fundamental calculus, linear algebra, probability, and basic numerical methods. Meer
Market Insanity: A Brief Guide to Diagnosing the Madness in the Stock Market is an engaging and accessible primer which applies modern behavioral finance to equity markets. Meer
The Comprehensive, Objective Guide to the Discipline of Technical Analysis: Fully Updated with New Research, Techniques, Theory, Data, Charts, and Resources
Suitable for courses leading to the Chartered Market Technician (CMT) designation and Series 86 exam exemption Follows a clear, logical sequence from beginner to advanced--with hundreds of up-to-date examples Covers indicators, cycles, strength, charts, trend confirmation, testing, trading systems, and much more Includes extensive new coverage of sentiment testing, flow-of-funds analysis, and many other topics
Now extensively updated, this is the most complete, objective, and up-to-date tutorial and reference for the entire discipline of technical analysis. Meer
For courses in auditing.
An integrated learning opportunity that encompasses financial statement assurance and accounting info systems
Assurance Practice Set for Comprehensive Assurance & Systems Tool (CAST) uniquely exposes students to these issues at The Winery at Chateau Americana, a hypothetical company that is based on an actual domestic winery. Meer
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