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1

Gallagher, David R. "Investment Manager Characteristics, Strategy and Fund Performance." Thesis, The University of Sydney, 2002. http://hdl.handle.net/2123/858.

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This dissertation presents five research essays evaluating the performance of managed funds in light of the investment strategy and manager characteristics exhibited by institutional investment companies. An analysis of investment performance with respect to a fund managers strategy provides important information in determining whether performance objectives have been achieved. There are a number of different types of investment strategies managed funds may adopt. However, the primary dichotomy is on the basis of whether the portfolio manager implements either an active or index
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2

Gallagher, David R. "Investment Manager Characteristics, Strategy and Fund Performance." University of Sydney. Business, 2002. http://hdl.handle.net/2123/858.

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This dissertation presents five research essays evaluating the performance of managed funds in light of the investment strategy and manager characteristics exhibited by institutional investment companies. An analysis of investment performance with respect to a fund managers strategy provides important information in determining whether performance objectives have been achieved. There are a number of different types of investment strategies managed funds may adopt. However, the primary dichotomy is on the basis of whether the portfolio manager implements either an active or index
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3

Plakys, Modestas. "Efficiency Of Investment Funds Markets." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2011. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2011~D_20111207_132224-78270.

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Rapid investment funds markets development reflects the dynamic environment in which the investment funds are operating – there are multiple and complex changes in the structure, changes in investment funds product range and increase in the services complexity, provided to carry investment funds operations and functions. Along with the investment funds markets development new types of risks and uncertainties appear. These developments clearly affect the future expansion of investment funds markets; it is valuable to find new ways of measuring the efficiency of investment funds markets for inve
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4

Werner-Zankl, Simon, Linda Samuelsson, and Emma Jonsson. "Swedish hedge funds : An analysis of the Swedish hedge funds’ investment strategies and risks associated with hedge funds." Thesis, Jönköping University, JIBS, Business Administration, 2007. http://urn.kb.se/resolve?urn=urn:nbn:se:hj:diva-1042.

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<p>Background</p><p>Out of the different fund categories hedge funds have had the highest development in Sweden since 1994. Swedish investors’ interest in hedge funds doubled from 2005 to 2006. Hedge funds are said to be an investment with a low risk and not being dependent upon business cycle movements. Historically there have been high initial investments, most often over 100 000 SEK, required to invest in hedge funds. This has started to shift towards lower initial investments. This is a reason why hedge funds start to become interesting to private investors and not only to institutional, a
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5

Leisher, Thomas Kai. "Exchange-Traded Funds: The Unknown Investment Opportunity." Wittenberg University Honors Theses / OhioLINK, 2019. http://rave.ohiolink.edu/etdc/view?acc_num=wuhonors1617280855446967.

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6

Bouchard, Renaud. "Géopolitique des Fonds Souverains. Protection des avoirs ou développement économique : l'impact sur l'économie mondiale." Thesis, Paris, EHESS, 2019. http://www.theses.fr/2019EHES0154.

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Le concept critique de fonds souverains présente aujourd'hui plus que jamais un potentiel de bouleversement et de transformation économique, stratégique et financier à l'échelle mondiale. Les fonds souverains sont de plus en plus assimilés à la logique capitaliste du développement économique, du pouvoir financier et de la souveraineté s'inscrivant dans une nouvelle géopolitique. Les fonds souverains ont progressivement remplacé la géopolitique par la géoéconomie, la géostratégie et la géofinance, car la puissance de la souveraineté de l’État est toute entière guidée - parallèlement ou en compl
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7

Мішина, О. В. "TNC investment strategy: development and implementation." Master's thesis, Сумський державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/76277.

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Theoretical bases of TNEs investment strategies and stages and timeline of the strategy implementation are represented. Analysis of the background and key factors defining international expansion strategy are provided, overview of strategic forms of entering foreign markets with evaluation of advantages and disadvantages are given . Dynamic analysis of investment climate and market development in Ukraine are provided, key success factors of a foreign market entry in the framework of long-term TNE strategy based on the business case outcome are provided.
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8

Covachev, Svetoslav. "Essays on mutual funds." Thesis, Cergy-Pontoise, Ecole supérieure des sciences économiques et commerciales, 2019. http://www.theses.fr/2019ESEC0005.

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Dans l'Essai 1, nous démontrons clairement que la relation flux-performance est convexe, mais uniquement dans la gamme des fonds à performance moyenne à élevée. Nous montrons qu'elle est en fait concave dans la gamme des fonds à performance faible à moyenne. La principale conclusion de l'essai 3 est que la composition du portefeuille du fonds a un impact sur la sensibilité de la performance des flux (SPF) du fonds. Plus précisément, un gestionnaire de fonds commun de placement peut réduire la sensibilité au rendement des flux en augmentant la pondération totale du portefeuille d'actions dans l
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Rostami, Alexander Mazyar. "Evaluating SEB Investment Strategy´s Recommended Mutual Fund Portfolios." Thesis, Mälardalens högskola, Institutionen för matematik och fysik, 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:mdh:diva-9750.

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Preview:     SEB Investment Strategy is the function in SEB that supports business units SEB      Private Banking and SEB Retail with investment philosophy and investment            process. The framework of SEB Investment Strategy encompasses to manage a     structured investment philosophy and process to produce a range of investment                    options and portfolios for different target groups. From January 2006 to October        2009 forty “Proposal for fund portfolios” were produced each containing         writing on market condition and expectations plus portfolio recommendations
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10

Luvhengo, victor. "Public pension funds and socially responsible investment in South Africa: a case study of the Public Investment Corporation." Master's thesis, University of Cape Town, 2013. http://hdl.handle.net/11427/29012.

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Socially responsible investment (SRI) and now commonly known as sustainable responsible investment is starting to gain a momentum in South Africa among asset owners and managers. Of a particular interest is that the leading public pension fund manager, the Public Investment Corporation (PIC) which invests on behalf of the Government Employee Pension Fund (GEPF) has a significant interest in driving this phenomenon in South Africa. In actual fact, GEPF was the first public asset owner in South Africa to subscribe to the United Nations Principles of Responsible Investment in 2006. This is not su
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11

Adrianto, Fajri. "The role of fund families in socially responsible investment (SRI) funds : the spillover effect and cross-subsidization strategy." Thesis, Queensland University of Technology, 2016. https://eprints.qut.edu.au/101164/1/Fajri_Adrianto_Thesis.pdf.

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This thesis aims to fill the gap in the SRI fund literature by examining the role of fund families in the flow and investment strategy of individual SRI funds. It examines spillovers in cash flow resulting from the existence of superior (poor) performing SRI funds and investigates the existence of cross-subsidization between SRI family members. It provides evidence of positive spillover effect from having star SRI funds on the monthly cash flow of their SRI siblings. It also finds evidence of cross-subsidization where the performance of winning funds is more likely to be subsidized by their pe
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12

Lam, Si-hang Yvonne. "Sources of funds for the financing of Hong Kong's industrialization." Hong Kong : University of Hong Kong, 1997. http://sunzi.lib.hku.hk/hkuto/record.jsp?B19740724.

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13

Carriere, Brian. "Public Policies Enabling Social Impact Investment Funds: Tax-Credits and Cash Transfers." Thesis, Université d'Ottawa / University of Ottawa, 2019. http://hdl.handle.net/10393/38791.

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Over the past decade, Social Impact Investing (SII) has garnered increasing attention among public policy makers as a solution for multigenerational, complex, intractable social and environmental problems, or as some advocates like to say, ‘wicked’ problems. The growing interest in SII aligns with the expansion, since the 1980s, of a set of public sector reforms that make use of new public policy instruments to achieve public objectives. Neoliberal economists and New Public Management (NPM) theorists have long argued for these reforms to improve the effectiveness and efficiency of government
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14

Philander, Graig Henry. "How can Africa attract foreign direct investment, with specific reference to an investment strategy within Africa." Thesis, University of the Western Cape, 2004. http://etd.uwc.ac.za/index.php?module=etd&amp.

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This research focused primarily on certain bilateral agreements as well as relevant multilateral agreements that govern the world's investment system. Attention is given to governance in the world of foreign direct investment and the aims and objectives of the integration initiative, as well as to the centrality of investment law in the scheme. The role of investment and the effect this have on the development of Africa is also a focal point of this paper. The central objective of the integration initiative is also looked at against the backdrop of investment-rating agencies and investment flo
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15

Levy, Jeffrey Elliot. "Financing alternative development through double bottom line private equity funds & a real estate social investment framework." Thesis, Massachusetts Institute of Technology, 2005. http://hdl.handle.net/1721.1/33049.

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Thesis (M.C.P. and S.M.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 2005.<br>Includes bibliographical references (p. 150-156).<br>The post-WWII period has seen a radical change in the growth patterns and composition of American cities, as a decentralized form of real estate development, conventional development, has become the dominant real estate development paradigm. As conventional development has become pervasive it has contributed to a host of negative economic, social, and environmental impacts. Growing dissatisfaction and concern over these negative imp
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16

Loomis, Benjamin A. (Benjamin Alan) 1971. "The value of flexible design : real estate investment and development strategy under uncertainty." Thesis, Massachusetts Institute of Technology, 2003. http://hdl.handle.net/1721.1/29773.

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Thesis (S.M. in Architectural Studies; and, S.M. in Real Estate Development)--Massachusetts Institute of Technology, Dept. of Architecture, 2003.<br>Includes bibliographical references (p. 133-137).<br>Utilizing recent research into building life cycle analysis and option valuation theory, this thesis develops an architectural methodology for analyzing buildings' "capacity for change," and economic models for valuing this capacity. Together these can be used to evaluate strategies for the design, investment, and development of new and existing buildings. Two hypothetical case studies illustrat
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17

Horsfield, Will. "Social investment as a strategy to achieve Sustainable Development Goals : a critical assessment." Thesis, Uppsala universitet, Statsvetenskapliga institutionen, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-395239.

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This paper assesses the relevance of social investment in relation to the 2030 Agenda and its Sustainable Development Goals (SDGs), targets, and indicators. The research question is: How could social investment support the achievement of Sustainable Development Goals? The thesis conceptualises social investment, sustainable development, and sustainability, before turning to the issue of how social investment could enhance its impact by focusing on areas of policy that it has not considered typically. This thesis goes beyond addressing the SDGs themselves to consider other issues that shall arg
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18

Brandt, Lily. "The macroeconomic impact of asset restrictions on pension funds." Thesis, Stellenbosch : Stellenbosch University, 2012. http://hdl.handle.net/10019.1/21381.

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Thesis (MBA)--Stellenbosch University, 2012.<br>Asset restrictions are prudential regulations applied by regulators around the globe. In essence, they prescribe asset restrictions as a risk-control measure to establish appropriate capital requirements for regulated institutions. The aim of prudential regulations and standards is to protect consumers who acquire the products and services offered by these institutions. Pension funds in Namibia must comply with Regulation 28 of the Pension Funds Act, 1956. Regulation 28 is the prudential regulation that governs investment limits for pension
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19

Breander, Jonas, and Oliver Vuckovski. "Fonder : En jämförande studie om fondstorlekens betydelse under lågkonjunktur." Thesis, Södertörn University College, School of Business Studies, 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:sh:diva-3552.

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<p><strong>Bakgrund:</strong> Fonder är en sparform som har utvecklats och blivit en av de mest populära och framgångsrika placeringsformerna på marknaden. Många företag väljer därför, efter en högkonjunktur följd av möjlighet till reservsparande, att investera på fondmarknaden för att kunna öka sitt kapital under kommande lågkonjunktur. Att välja en stor och trögrörlig eller en liten och snabbfotat fond kan vara av avgörande karaktär när man ska se till utvecklingen.</p><p><strong>Problemformulering:</strong> Har fondstorleken betydelse vid placering i fonder under lågkonjunktur?</p><p><stron
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20

Lam, Si-hang Yvonne, and 林思. "Sources of funds for the financing of Hong Kong's industrialization." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 1997. http://hub.hku.hk/bib/B31954558.

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21

Akinjolire, Akinwande. "The evaluation of the South African unit trust fund managers' performance and strategy in a changing economic climate (1989-2002)." Thesis, Stellenbosch : Stellenbosch University, 2002. http://hdl.handle.net/10019.1/53115.

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Thesis (MBA)--Stellenbosch University, 2002.<br>ENGLISH ABSTRACT: Previous studies show that interest rates, dividend yields and other commonly available variables are useful market indicators. Although this has produced new insights into asset pricing models, it has not been applied to the measurement of unit trust funds' performance. This study introduces a set of predetermined variables into the measures of performance of South African unit trust fund managers. This paper modifies classical performance measures to incorporate these well-known market indicators. The performance and s
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22

Cederberg, Erik, and Linus Schnitzer. "Closed-End Funds and their Net Asset Value over time : A study of the relationship between Swedish closed-end funds' market prices and their underlying assets over a period of time." Thesis, Internationella Handelshögskolan, Jönköping University, IHH, Nationalekonomi, 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:hj:diva-49109.

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Closed-end funds (CEFs) are popular investments amongst the Swedish population as they provide diversification to investors and have in many cases historically outperformed the market. In deciding whether to invest in a CEF, the method of valuation differs from classical financial ratios used to value most companies, as the revenue-bringing operations differ significantly. The Net Asset Value (NAV) per share is compared to the market price per share of a CEF, to determine if the share is traded at a discount or premium. The purpose is based upon the rationalization that a share’s market price
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23

Webb, Gregory T. (Gregory Thomas) 1975. "Development of a manufacturing strategy for a low investment, bent tube space frame vehicle in North America." Thesis, Massachusetts Institute of Technology, 2003. http://hdl.handle.net/1721.1/84342.

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Thesis (M.B.A.)--Massachusetts Institute of Technology, Sloan School of Management; and, (S.M.)--Massachusetts Institute of Technology, Dept. of Mechanical Engineering; in conjunction with the Leaders for Manufacturing Program at MIT, 2003.<br>Includes bibliographical references (p. 75).<br>by Gregory T. Webb.<br>S.M.<br>M.B.A.
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24

Yu, Jian. "Early development of foreign direct investment in the travel trade industry of China, 1998 to 2007." Thesis, University of Exeter, 2010. http://hdl.handle.net/10036/117793.

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This research aims to investigate the development approaches, operational experiences, and market influences of foreign invested travel service (FITS) companies, including travel agencies and tour operators, in China in the opening decade (1998-2007) of Foreign Direct Investment (FDI) in the industry. It also examines the Chinese business environment for the development of the FITS sector in the country. The investigation was conducted through some focused aspects, including different roles of three major locations; the setup and licensing process in the FITS sector; the FITSs’ original countr
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25

Choi, Hyung-Suk. "Three essays on stock market seasonality." Diss., Atlanta, Ga. : Georgia Institute of Technology, 2008. http://hdl.handle.net/1853/26597.

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Thesis (Ph.D)--Management, Georgia Institute of Technology, 2009.<br>Committee Chair: Eun, Cheol; Committee Member: Jayaraman, Narayanan; Committee Member: Kilic, Rehim; Committee Member: Lee, Suzanne; Committee Member: Wang, Qinghai. Part of the SMARTech Electronic Thesis and Dissertation Collection.
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26

Li, Yunda. "Navigating treacherous waters : U.S. private real estate debt market opportunity and investment strategy under new debt capital market order." Thesis, Massachusetts Institute of Technology, 2016. http://hdl.handle.net/1721.1/107864.

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Thesis: S.M. in Real Estate Development, Massachusetts Institute of Technology, Program in Real Estate Development in conjunction with the Center for Real Estate, 2016.<br>Cataloged from PDF version of thesis.<br>Includes bibliographical references (pages 68-71).<br>U.S. commercial real estate debt capital market is experiencing some underlying structural changes. New regulations in banking and CMBS industry have resulted in reduced roles of these regulated lenders in the commercial real estate financing market. Funding gaps appear in the market as regulated lenders pullback from various types
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27

Yau, Kwok-ching Edmond. "An analysis of sources and application of funds for a sample of Hong Kong companies /." [Hong Kong] : University of Hong Kong, 1992. http://sunzi.lib.hku.hk/hkuto/record.jsp?B13302139.

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28

Ferreira, Fernanda Maria. "Fundos de investimento imobiliário - governança corporativa." Universidade de São Paulo, 2011. http://www.teses.usp.br/teses/disponiveis/3/3146/tde-12122011-135043/.

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Atualmente no Brasil, é possível observar um movimento no mercado dos FIIs (Fundos de Investimento Imobiliário). Este movimento inclui desde alterações recentes na regulamentação, nos prospectos e regulamentos como alterações nos novos tipos que têm sido ofertados no mercado. Além disso, este mercado está em uma fase de grande expansão, no cenário nacional. O ambiente econômico nacional e internacional têm propiciado uma busca por alternativas de investimento, e o FII possui características muito relevantes. Em um mercado cada vez mais pulverizado e mais negociado em bolsa de val
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29

Dirhan, Martin. "Analýza hedgeových fondů se zaměřením na právní úpravu." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2014. http://www.nusl.cz/ntk/nusl-224395.

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This Thesis aims at hedge funds analysis focused on legal regulation. Hedge funds are not very well-known in our country, they represent a specific kind of investment funds. A term which describes these funds most closely within our legal environment is "Funds of qalified investors". The first part of this Thesis is focused predominantely on general descsription of hedge funds, their histroy and specific features. The second part of the Thesis deals with strategy, legislation and some other aspects of hedge funds.
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30

Ighoavodha, Frederick J. O. (Frederick J. Ofuafo). "International Political Economy of External Economic Dependence and Foreign Investment Policy Outputs as a Component of National Development Strategy: Nigeria 1954-1980." Thesis, North Texas State University, 1986. https://digital.library.unt.edu/ark:/67531/metadc331233/.

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This study examined the effects and expectations of external economic dependence on foreign investment policy outputs with particular reference to the Nigerian experience between 1954 and 1980. Three basic kinds of external economic dependence were studied: foreign investment, the penetration of the Nigerian economy by foreign capital through the agency of the multinational corporations (MNCs); foreign trade, a measure of the Nigerian economy's participation in the world market; and foreign aid (loans and grants), a measure of Nigeria's reliance on financial assistance from governments and int
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31

Stankevičiūtė, Agnė. "Ilgalaikių asmeninių investicijų strategijų ir valdymo metodų analizė." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2010. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2009~D_20100224_140251-12402.

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Magistro baigiamajame darbe nagrinėjama investicijų planavimo, klasifikavimo, pasirinkimo galimybės, investicinio portfelio sudarymo metodai ir ilgalaikės strategijos teoriniu aspektu, bei išanalizuotos investicinių fondų strategijos trimis finansų rinkos laikotarpiais. Tyrimo objektas – investiciniai įrankiai, ilgalaikės investavimo strategijos. Tikslas – išanalizuoti ilgalaikes investavimo strategijas skirtingais ekonomikos tarpsniais ir išsiaiškinti kas lemia žemus investicinius rezultatus. Magistro baigiamojo darbo uždaviniai – atlikti investavimo ir asmeninių finansų planavimo literatū
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32

Сабзалієва, А. Т. "Фінансування місцевого економічного розвитку". Thesis, Одеський національний економічний університет, 2021. http://local.lib/diploma/Sabzaliieva.pdf.

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Доступ до роботи тільки на території бібліотеки ОНЕУ, для переходу натисніть на посилання нижче<br>У роботі визначено концепцію місцевого економічного розвитку, охарактеризовано існуючі джерела фінансування місцевого економічного розвитку та розглянуто механізми фінансування місцевого економічного розвитку. Досліджено нормативно-правове забезпечення у сфері фінансування місцевого економічного розвитку в Україні, зроблено огляд міжнародного досвіду у фінансування місцевого економічного розвитку та проаналізовано наявні практики фінансування місцевого економічного розвитку в Україні. Надано ре
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Калантай, А. М. "Стратегія рішення проблем стійкого розвитку на інвестиційно-інноваційній основі". Thesis, ГО "Центр економічних досліджень та розвитку", 2012. http://essuir.sumdu.edu.ua/handle/123456789/64003.

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Сучасна світова економіка характеризується провідним значенням науково- технічного прогресу і дедалі вищою інтелектуалізацію виробництва, які й визначають конкурентоспроможність національних економік.
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Bláhová, Lucie. "Investiční životní pojištění." Master's thesis, Vysoká škola ekonomická v Praze, 2016. http://www.nusl.cz/ntk/nusl-205693.

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This diploma thesis deals with the investment life insurance. Investment life insurance combines the classical life insurance and the investments in open-end mutual funds. It is a widely discussed financial product, especially for its high expensiveness. Nevertheless, the investment life insurance holds a significant share of the insurance market. The aim of this diploma thesis is the analysis and exploration of investment life insurance market in Czech Republic. The thesis consists of theoretical and practical part. In theoretical part the basic concepts of this insurance product are defined.
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35

Hernández-Rodríguez, Víctor Manuel. "Why not Mexico? Policy Recommendations for a Globally-Oriented Economic Strategy." Scholarship @ Claremont, 2018. http://scholarship.claremont.edu/cmc_theses/1968.

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Mexico, one of the world’s largest economies and an increasingly relevant actor in international affairs, is at a crucial point in defining its future policy course. Given the uncertainty surrounding the global economy, as well as the political situation in Mexico, it is important to have a clear vision for policy going forward. This thesis offers a foundation for a national economic strategy with a long-term vision, upon which future administrations can build as appropriate to maximize on the country’s economic potential. The task is undertaken through a three-part approach. First, a thorough a
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36

Mesquita, Leandro Silva. "Investimento produtivo dos fundos de pensão: uma crítica à estrutura de juros brasileira." Pontifícia Universidade Católica de São Paulo, 2017. https://tede2.pucsp.br/handle/handle/19788.

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Submitted by Filipe dos Santos (fsantos@pucsp.br) on 2017-03-17T11:54:49Z No. of bitstreams: 1 Leandro Silva Mesquita.pdf: 7538322 bytes, checksum: a41e962e4ef0b303cd1305a4881dade8 (MD5)<br>Made available in DSpace on 2017-03-17T11:54:49Z (GMT). No. of bitstreams: 1 Leandro Silva Mesquita.pdf: 7538322 bytes, checksum: a41e962e4ef0b303cd1305a4881dade8 (MD5) Previous issue date: 2017-03-07<br>Brazil's economic history is characterized by a strongly shortage of saving, and this has always been considered one of the main causes for the low level of productive investment in the economy. The
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Бродюк, І. В. "Формування стратегії інвестиційного розвитку швейної промисловості в умовах інтеграції України в ЄС". Thesis, Чернігів, 2020. http://ir.stu.cn.ua/123456789/19368.

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Бродюк, І. В. Формування стратегії інвестиційного розвитку швейної промисловості в умовах інтеграції України в ЄС : дис. ... канд. екон. наук : 08.00.03 / І. В. Бродюк. - Чернігів, 2020. - 242 с.<br>У дисертації досліджено теоретичні та практичні засади формування стратегії інвестиційного розвитку швейної промисловості в умовах інтеграції України в ЄС. Визначені основні проблеми розвитку, що виникають у суб’єктів господарювання швейної галузі в процесі здійснення інвестиційної діяльності. Встановлені перспективні напрями розвитку швейних підприємств на основі аналізу факторів впливу зовнішньог
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Komárek, Lukáš. "Investiční modely v prostředí kapitálových trhů." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2012. http://www.nusl.cz/ntk/nusl-223706.

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This thesis deals with models of investment strategies in an environment of capital markets. Based on the research environment of financial markets, analysis of available financial products and the help of supporting information resources, there are developed and simulated three different investment strategies – risk dynamic strategy, medium balanced strategy and a stable conservative strategy. The output of work is an investment questionnaire, which is used to select appropriate investment strategies, and three models of investment strategies, including evaluation. Investment evaluation itsel
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Covas, Svetlana. "External assistance for European integration : A qualitative case study analysis of the external assistance symbiosis with the National Strategy Plan and constraints in light with the EU – Moldova integration." Thesis, Stockholms universitet, Institutionen för ekonomisk historia och internationella relationer, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:su:diva-196148.

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This dissertation is a case study of Moldova regarding the influence of external assistance over the National Development Strategies 2020 and 2030 in face of the EU – Moldova Accession Agenda. The external assistance plays a key role for the country’s development but the allocation of the funds might not address the sustainable development goals set by the UN, and therefore the national strategic development plans need to be analysed on correlation. Donors tend to focus on a group of sectors leaving others lower in priority. One sector as such is the judiciary and governance. The European Comm
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Dimitriadis, Alexandros. "Ressources et Leviers Stratégiques des Fonds d'Investissement Socialement Responsable." Thesis, Lyon 3, 2011. http://www.theses.fr/2011LYO30091/document.

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Cette thèse traite des fonds d’Investissement Socialement Responsables (ISR) français. D’après la Théorie Moderne du Portefeuille leur performance devrait être inférieure à celle des fonds traditionnels. Cependant des recherches antérieures présentent des résultats contradictoires. Nous choisissons de faire appel à la Resource Based View (RBV) pour interpréter cette incohérence entre théorie et pratique.Nous employons une méthodologie qualitative exploratoire, combinant des entretiens avec une analyse lexicale. Nous validons quantitativement une partie de nos résultats qualitatifs en modélisan
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Švajdová, Ivana. "Rozvoj obchodních aktivit podniku." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2012. http://www.nusl.cz/ntk/nusl-223716.

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The subject of this thesis is creation of a business plan leading to the development of the business activities. The first part of the thesis covers the theoretical introduction into the matters, basic terms and definition of the used methods. Based on the theoretical findings and on the evaluation of the current state of the company the author of the thesis creates a concept of changes that should increase the competitiveness and improve the economical condition of the business. The conclusion is an estimation of the future development of the company.
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DARKO, PHIDELIA. "EU DEVELOPMENT POLICY FOR DEVELOPING COUNTRIES VS. THE NEW SECURITY AGENDA : A CASE STUDY ON GHANA." Thesis, Malmö högskola, Fakulteten för kultur och samhälle (KS), 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:mau:diva-23826.

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Development issues have been the centre of most international governmental organisations for quite a long time. Most developing countries tend to depend on Western foreign donors to assist them in their developmental ambitions. Ghana as a developing nation also depends on it foreign donors to finance most of it developmental projects. Even though the European Union is an international governmental organisation that is much known for assisting developing countries with their developmental projects it is anticipated that recent occurrence such as the global economic meltdown, climate change cou
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Зайцева, А. М. "Формування стратегії інвестиційно-інноваційного розвитку підприємств реального сектора економіки". Master's thesis, Сумський державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/76201.

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У кваліфікаційній роботі магістра проведено теоретичне обґрунтування формування стратегічних напрямів інвестиційно-інноваційного розвитку підприємств реального сектора економіки, надано теоретичне та методичне обґрунтування та практична розробка пропозицій та заходів щодо підвищення ефективності інноваційно-інвестиційної діяльності підприємства на прикладі ТОВ «Одетекс».
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Hayward, Ian C. "Evaluation of a leadership development programme : developing a 'fit for purpose' model to evaluate a leadership development programme at the individual, departmental and organisational levels within the BBC." Doctoral thesis, University of Bradford, 2009. http://hdl.handle.net/10454/4284.

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The research was aimed at addressing the challenge of evaluating a large scale change intervention in a large organisation and in a complex environment. Finding robust, meaningful yet realistic methodologies from among the array of possible approaches, methods and techniques has proved problematic, for both organisational practitioners and academics alike. The research explored this issue of choice from the perspective of ¿fit for purpose¿ and suggests a multi-faceted approach, using a range of evaluation methods and techniques, which were applied to an ongoing example at the BBC. It was also
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Veselá, Tereza. "Strukturální fondy EU a jejich využití ve venkovském cestovním ruchu." Master's thesis, Vysoká škola ekonomická v Praze, 2016. http://www.nusl.cz/ntk/nusl-262221.

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The master thesis focuses on utilizing of The European Structural and Investment Funds in the rural tourism in the current Programming Period (2014-2020). The main concern of the thesis is defining the options of supporting the rural tourism from the ESI funds in the current Programming Period. In the thesis is introduced a factual exaple of a business plan to create an agrotourism facility in Liberec region using the mentioned funds. The business plan is going to be actualy realized.
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Замлинський, В. А. "Розвиток ринку венчурного інвестування переробних підприємств України". Thesis, Чернігів, 2016. http://ir.stu.cn.ua/123456789/15485.

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Замлинський, В. А. Розвиток ринку венчурного інвестування переробних підприємств України : дис. ... д-ра екон. наук : 08.00.04 / В. А. Замлинський. - Чернігів, 2016 - 525 с.<br>Дисертація присвячена вирішенню науково-практичної проблеми – обґрунтуванню теоретико-методологічних і методичних засад венчурного інвестування переробних підприємств України та розробки практичних рекомендації щодо його розвитку. Поглиблено понятійно-категоріальний апарат теорій економіки та управління підприємствами і теорій інвестування. Визначено основні фактори, які обмежують розвиток венчурного інвестування в Ук
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Růžička, Jan. "Využití dotačních prostředků na realizaci stavebního projektu." Master's thesis, Vysoké učení technické v Brně. Fakulta stavební, 2017. http://www.nusl.cz/ntk/nusl-265639.

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This master's thesis describes an issue of preparation and evaluation of investment projects which are co-financed by EU funds. A practical example of the specific investment project is used to demonstrate a usefulness of co-financing by these funds. This investment project is processed as a case study which includes both financial and economic evaluation of the project. This evaluation also includes assessment of effectiveness and efficiency of this investment project.
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Gouveia, Maria Helena Santos. "Estratégias e políticas de desenvolvimento para a diversificação da economia Angola: a pomoção do investimento privado." Master's thesis, Instituto Superior de Ciências Sociais e Políticas, 2016. http://hdl.handle.net/10400.5/12781.

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Dissertação de Mestrado em Estratégia<br>A proposta do presente trabalho de Mestrado em Estratégia, do Instituto Superior de Ciências Sociais e Políticas, consiste em estudar as Estratégias e Políticas de Desenvolvimento para a Diversificação da Economia Angolana: A Promoção do Investimento Privado. Neste quadro, pretendemos analisar o Investimento Direto Estrangeiro e os desafios que este apresenta para o desenvolvimento económico nacional do Estado angolano. Nesta dinâmica e de acordo com diversos autores, o IDE tem tido um papel cada vez mais importante, impulsionando o desenvolvimento eco
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Olsson, Mikael. "Ownership reform and corporate governance : The Slovak privatisation process in 1990-1996." Doctoral thesis, Uppsala : [S. Academiae Upsaliensis], 1999. http://catalogue.bnf.fr/ark:/12148/cb400167769.

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Мареха, Ірина Сергіївна, Ирина Сергеевна Мареха та Iryna Serhiivna Marekha. "Еколого-економічна оцінка якості інвестицій у сфері сільськогосподарського землекористування". Thesis, СумДУ, 2013. http://essuir.sumdu.edu.ua/handle/123456789/33972.

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У дисертації проаналізовано науково-методичні підходи до еколого- економічної оцінки якості інвестицій, окреслено екологічні фактори, що призводять до збільшення ризиків інвестування сільськогосподарської еколого-економічної системи та відповідного заниження якості інвестицій. Доведено необхідність застосування комплексної концепції взаємозв’язку раціонального сільськогосподарського землекористування та інвестиційної привабливості досліджуваної галузі. Установлено, що урахування параметрів якості сільськогосподарських інвестицій є кардинальним чинником підвищення інвестиційної привабливості
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