Academic literature on the topic 'Aspect financier'

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Journal articles on the topic "Aspect financier"

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Trankvillitskaia, Tatiana. "The Soviet Pavilion at the 1937 Paris Exposition: Financial Aspect and Organizational Problems." Studia Litterarum 5, no. 4 (2020): 444–71. http://dx.doi.org/10.22455/2500-4247-2020-5-4-444-471.

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This article focuses on the financial aspect and certain problems in the preparation of the Soviet Pavilion for the 1937 International Exposition in Paris. Following up a short introduction that gives a contextual overview, the essay discusses how various plans, guidelines and competitions affected the décor of the Pavilion’s interior and how the items of the collection were selected. Details such as the deadlines imposed on the artists help to understand the importance of the human factor in the event of this scale. The article also explores financing of the Soviet Pavilion at the Exhibition
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De Ridder, Guido, and Claude Legrand. "Prestation d’affection et échange économique : les femmes qui gardent des enfants." International Review of Community Development, no. 28 (October 27, 2015): 87–93. http://dx.doi.org/10.7202/1033806ar.

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La professionnalisation suppose une compétence technique fondée sur un savoir minimal institutionnellement garanti. Dans les représentations des femmes qui gardent les enfants, les services offerts (sécurité, hygiène, alimentation, socialisation primaire, éducation morale) sont entièrement assujettis au don d’affection, qui en serait la condition nécessaire et suffisante. Cette aptitude est conçue comme une extension de l’amour et des compétences maternels aux enfants des autres. Une telle conception permet de comprendre ce qui fait résistance à la professionnalisation du maternage et rend com
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De Loughry, Treasa. "America’s Signal Crisis in Salman Rushdie’s Fury." Journal of Commonwealth Literature 52, no. 3 (2017): 484–500. http://dx.doi.org/10.1177/0021989416684900.

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This article examines how Salman Rushdie’s Fury (2001) registers a signal crisis of American hegemony through its hyperreal production of an aesthetics of excess, constituted by fragmented subjectivities, a frenetic narrative form, references to the decaying years of the Roman Empire, and irruptions of violence against women. The text’s libidinal investment of personal anguish with public discontent, or a psychopathological fury, is read through Fredric Jameson’s account of third-world allegory as a symptom of the novel’s registration of America’s hegemonic decline. The scalping of several upp
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Ruiz Dotras, Elisabet. "La nueva era de los mercados financieros y su globalización." Oikonomics, no. 2 (November 15, 2014): 20–26. http://dx.doi.org/10.7238/o.n2.1414.

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La globalización de los mercados financieros ha tenido lugar a partir de una serie de factores o circunstancias que han permitido la integración de los mercados financieros. Uno de ellos es la desregulación financiera y la libertad de movimientos de capitales. Pero uno de los factores más relevantes en este cambio ha sido el avance tecnológico relativo a la conexión entre mercados, facilitando y unificando sistemas de liquidación y compensación de operaciones, agilizando la negociación con servicios integrados de varios mercados, y mejorando el binomio riesgo-rendimiento para los inversores. C
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Zakiah, Nur, Gendro Wiyono, and Risal Rinofah. "ANALISIS KINERJA KEUANGAN KOPERASI SIMPAN PINJAM DAN PEMBIAYAAN SYARIAH BMT ARTHA BAROKAH DI KECAMATAN IMOGIRI." Jurnal Ilmiah Manajemen Kesatuan 10, no. 1 (2022): 1–8. http://dx.doi.org/10.37641/jimkes.v10i1.910.

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The research was conducted to see the development of KSPPS BMT Artha Barokah's financial performance in 2015-2019 by looking at aspects: capital, productive asset quality, efficiency, liquidity, cooperative identity as well as aspects of independence and growth.
 The research is descriptive quantitative, namely by analyzing financial data and then the results are presented in the form of numbers. The variables studied were the financial performance of KSPPS BMT Artha Barokah with documentation techniques. For data analysis using the instrument of the Regulation of the Deputy for Supervisi
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Sukhonos, V. V. "The minimal state in Ukraine as a progressive ideal of the historical criterion of the legal approach to the typology of the state: functional aspect." Legal horizons, no. 26 (2021): 17–23. http://dx.doi.org/10.21272/legalhorizons.2021.i26.p17.

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The article is devoted to the minimal state in Ukraine as a progressive ideal of the historical criterion of the legal approach to the typology of the state. The main attention, at the same time, is paid to features of its functioning. It is this type of state that must overcome the shortcomings of the state of the modern bureaucratic type. It seems that the need for its introduction in Ukraine is influenced by two factors: globalization and a significant increase in the role of civil society. At the same time, despite COVID-19, the processes of globalization have not decreased and the signifi
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García Figal, Alejandro. "Pronóstico de la tasa de cambio euro-dólar. Diagnóstico de técnicas predictivas." ECA Sinergia 12, no. 3 (2021): 7. http://dx.doi.org/10.33936/eca_sinergia.v12i3.3024.

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 Las metodologías aplicadas en la simulación y control de mercados financieros ha sido un tema de interés en la última década. Contar con un procedimiento que permita predecir y anticipar cambios no deseados en variables financieras conlleva a una mejor toma de decisiones, aspecto de profundo interés dentro de la ingeniería financiera, donde con pronósticos confiables se logra una mejor gestión financiera y una cobertura del riesgo financiero mucho más eficiente. En el trabajo empírico, mediante el análisis de indicadores macroeconómicos y del comportamiento histórico de variables financ
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Saldarriaga Restrepo, César Augusto. "Conocimientos financieros y capacidades financieras en colaboradores de una organización del Noreste Colombiano." Revista de Investigación Valor Contable 5, no. 1 (2020): 58–73. http://dx.doi.org/10.17162/rivc.v5i1.1250.

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A nivel mundial la Organización para la Cooperación y el Desarrollo Económico (OCDE), promueve la educación financiera con la finalidad de desarrollar conocimientos económicos en los ciudadanos para valerse en la vida, entender la sociedad y mejorar el mundo, de allí que, el estudio determina en qué medida los conocimientos financieros de los colaboradores de una organización del Noreste Colombiano se relacionan con sus capacidades financieras, como aspecto clave de la administración financiera. Para ello, se estableció un diseño cuantitativo descriptivo y correlacional no experimental de cort
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Astono, Muhammad Habibi, and Dina Fitrisia Septiarini. "Analisis Pembiayaan Akad Mudharabah dan Musyarakah di Bank Syariah (Studi Kasus Bank BTN Syariah)." Jurnal Ekonomi Syariah Teori dan Terapan 4, no. 2 (2017): 159. http://dx.doi.org/10.20473/vol4iss20172pp159-172.

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The purpose of this study was to determine how the analysis process for the results of financing agreement in Islamic banks (Bank BTN Syariah case study). The results showed that of the theory 5C, Bank BTN Syariah using 4C theory (Character, Capacity, Capital, Collateral) or the so-called four pillars. As for the theory 6A (Analysis of Legal Aspects, Analysis Marketing Aspect, Aspect Analysis Technical Analysis Aspects of Management, Analysis of Financial Aspect, Aspect Analysis Socioeconomic) the Bank BTN Syariah overall use of the theory. Risk mitigation strategies of financing and loss at B
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Muñoz, Fernando Enrique Jiménez. "Efectos del Sistema de Atención al Consumidor Financiero (SAC) en el tratamiento de la exigencia legal de educación al consumidor financiero." Revista Civilizar de Empresa y Economía 5, no. 9 (2014): 69. http://dx.doi.org/10.22518/2462909x.266.

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El presente artículo se enfoca en establecer los efectos y prevalencia quetiene el Sistema de Atención al Consumidor Financiero (SAC) en el tratamientode la exigencia legal de educación del consumidor financiero, aspecto que tiene su eje en el evidente incremento de las quejas y reclamos que hacen usuarios y clientes respecto de los servicios prestados por las entidades financieras; ello ha implicado evaluar un aspecto central -la educación del consumidor financiero-, que compromete responsabilidades de las entidades públicas, especialmente de la Superintendencia Financiera de Colombia, y de l
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Dissertations / Theses on the topic "Aspect financier"

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Kaestner, Michael. "Biais cognitifs et formation des prix sur les marchés financiers." Montpellier 1, 2004. http://www.theses.fr/2004MON10020.

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Les travaux en finance comportementale tentent, depuis quelques années, d'expliquer certaines des anomalies constatées, en abandonnant l'idée de rationalité de l'investisseur, pourtant centrale à l'hypothèse d'efficience des marchés. En effet, des travaux empiriques et expérimentaux récents ont confirmé qu'au lieu de se compenser, les erreurs de jugements commises par les individus, influencent le comportement des cours des titres sur les marchés financiers. L'objectif de notre travail est de permettre une meilleure compréhension des biais cognitifs, lesquels affectent les processus mentaux de
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Belhabib, Karima. "Système financier et croissance économique : un aspect théorique, des validations empiriques, ainsi qu'une analyse du système financier algérien." Pau, 2008. http://www.theses.fr/2008PAUU2001.

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Les politiques interventionnistes suivies par de nombreux pays en développement (PED), n’ont pas permis à ces pays de connaître une croissance économique. Selon l’école de la répression financière, la libéralisation financière favoriserait la croissance économique. Le concept de libéralisation financière, s’est inscrit dans la logique de l’évolution financière des PED. Mais les crises financières expérimentées par les premières libéralisations, suivies par celles des pays asiatiques, viennent remettre en cause le bien fondé de la libéralisation financière. Cette thèse analyse la relation entre
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Yaacoub, Chadi. "La finance comportementale et l'investisseur libanais." Paris 11, 2007. http://www.theses.fr/2006PA111013.

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Turko, Anton. "Approche comportementale des marchés financiers : options et prévisions." Aix-Marseille 3, 2009. http://www.theses.fr/2009AIX32038.

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Cette thèse concerne le problème de l’information et de la décision en matière de stratégies financières intermarchés où la connaissance d'informations et d'outils conditionnels est exploitée pour définir des probabilités de rentabilisation par des prévisions assises sur une logique comportementale des opérateurs. Il faut préciser que les probabilités dont nous parlons ici n’ont rien à voir avec les probabilités habituellement utilisées supposant un processus à moyenne déterminable et à l’écart type modélisable. Les opérateurs sont identifiés selon deux points de vue, acheteurs et vendeurs, ce
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Daudé, Bénédicte. "Marchés financiers et données fondamentales : essai structurale d'une économie de l'information et de l'incertain." Lyon 3, 2001. http://www.theses.fr/2001LYO33013.

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Notre projet est une tentative d'étude des marchés financiers vus essentiellement sous l'angle de leur volatilité. Cette recherche prend pour objet, en deçà ou au-delà des modèles mathématiques et sans mettre en cause l'utilité évidente de ces derniers, le contexte sociologique, informatif et humain des marchés. La difficulté principale tient au fait que cet objet d'étude n'a pas à proprement parler de centre de gravité. Néanmoins, il est exact de dire que notre approche frontale de la complexité des marchés, c'est-à-dire d'une prétendue irrationalité non dépourvue de sens, gravite autour du t
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Leconte, Arnaud. "Combler l'écart entre la gestion de l'information et du risque social : : le marché européen du carbone, un modèle pour un marché global du carbone?" Nice, 2010. http://www.theses.fr/2010NICE0012.

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Le développement du marché européen du carbone (EU ETS) depuis 2005 constitue la première expérience empirique d’intégration d’une nouvelle information (le prix du carbone) dans la gestion du risque climatique. Or, l’aspiration à créer un prix global et efficient du carbone en utilisant le système du marché passe par la reconnaissance que ce système doit être aussi conçu pour permettre des transferts financiers et technologiques aux pays en voie de développement sur la base du principe d’équité. Ce sont des éléments essentiels de tout futur programme d’action de lutte contre le changement clim
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Moussa, Hadiza. "Utilisation optimale de l'information privée et évolution stochastique des prix sur un marché financier." Nancy 1, 2002. http://www.theses.fr/2002NAN10009.

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Nous étudions un problème d'asymétrie d'information sur un marché financier. Nous modélisons ce problème par des jeux répétés de deux personnes avec manque d'information sur un côté analogues au modèle introduit par Aumann et Maschler. Comme dans les travaux existant dans la littérature, nous analysons, dans un premier temps, la façon dont les joueurs utilisent stratégiquement la répartition asymétrique de l'information, puis nous montrons comment, à l'équilibre, l'information privée est progressivement intégrée dans les prix. Beaucoup de résultats connus font l'hypothèse de gaussianité des va
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Vard, Patrick. "Éléments pour une analyse économique de l'organisation des marchés de titres." Orléans, 2001. http://www.theses.fr/2001ORLE0503.

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L' objet de cette thèse est de montrer les conséquences de l'utilisation croissante au sein des marchés de titres des nouvelles technologies de l'information et de la communication (NTIC) sur la façon dont ils vont s'acquitter de leurs tâches, principalement celle de déterminer un prix d'équilibre. Après avoir présenté les choix traditionnels d'organisation des marchés et les mérites des différentes options possibles (chapitre I) nous montrons tout d'abord que ces techniques vont remettre en cause les choix effectués. Puis nous montrons que le développement de ces nouvelles technologies invite
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Gond, Jean-Pascal. "Contribution à l'étude du concept de performance sociétale de l'entreprise : fondements théoriques, construction sociale, impact financier." Toulouse 1, 2006. http://www.theses.fr/2006TOU10003.

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L'objectif de cette thèse est de contribuer au développement théorique du concept de "Performance sociétale de l'entreprise" (PSE) en rendant compte de son caractère socialement et cognitivement construit. Un cadre d'analyse de la PSE est élaboré, distinguant quatre perspectives sur ce concept : la PSE comme fonction de régulation sociale (perspective fonctionnaliste), la PSE comme expression d'un rapport de force (perspective politique), la PSE comme produit d'une culture (perspective culturaliste) et enfin la PSE comme construction sociocognitive (perspective constructiviste). Ce cadre d'ana
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Assouly, Judith. "La mise en place de la déontologie dans les activites financiers : de la question morale à celle de la responsabilité du système financier." Paris, EHESS, 2011. http://www.theses.fr/2011EHES0041.

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Cette recherche explore le sens donné au respect des règles déontologiques par les agents dans les activités spécifiques à la banque d'investissement*. L'une des particularités de ce domaine est l'existence de tensions entre les impératifs de profit et les contraintes induites par les règles. La dimension normative est illustrée par le développement de la fonction de déontologue ou responsable de conformité. Aussi, les préoccupations sécuritaires ou éthiques des agents dans leurs pratiques sont analysées au regard du rôle du déontologue. La sociologie morale est l'approche principale qui nous
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Books on the topic "Aspect financier"

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Ruisseaux, Manon Des. Les diktats du libre marché: La dictature de dieu dollar : mensonges et manipulations du pouvoir politique et financier. Louise Courteau, 2006.

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La finance au pas: Ce qu'il faut savoir sur la finance pour mieux la combattre. Temps des cerises, 2014.

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Table ronde nationale sur l'environnement et l'économie (Canada). Les marchés financiers et la durabilité: Investir dans un avenir durable. Table ronde nationale sur l'environnement et l'économie, 2007.

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Craig, Toomey, ed. Dans la jungle du placement: Comment j'ai tiré mon épingle du jeu. Éditions Transcontinental, 2005.

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Roux, Michel. Finance éthique: Structures, acteurs et perspectives en France. Revue banque édition, 2005.

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Center for Strategic and International Studies (Washington, D.C.), ed. Global aging and financial markets: Hard landings ahead? CSIS Press, Center for Strategic and International Studies, 2002.

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1943-, Trudel Pierre, ed. Dernière minute de jeu: Les millions du hockey. Hurtubise HMH, 2004.

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Chikhaoui, Leïla. L' environnement: Aspects financiers. Centre de publication universitaire, 1999.

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Moore, Norman. Commerical & financial aspects. Hinckley College of Further Education, 1985.

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Semenova, Nadezhda, Svetlana Artem'eva, Svetlana Busalova, et al. Finance. INFRA-M Academic Publishing LLC., 2022. http://dx.doi.org/10.12737/1456979.

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The textbook reveals the theoretical and practical aspects of the organization of finance as a socio-economic category. It examines the essence and functions of finance, their role in the reproduction process, the structure of the financial system of the state, the content of state and municipal finance, financial management bodies, the essence of the budget and state extra-budgetary funds, the organization of the budget process. The priorities and main directions of the state's financial policy, forms and methods of state financial control, trends in the development of public credit and publi
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Book chapters on the topic "Aspect financier"

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Cusden, Phoebe E. "The Financial Aspect." In The English Nursery School. Routledge, 2022. http://dx.doi.org/10.4324/9781003328315-16.

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Hibbert, Edgar P. "Financial aspects." In International Business. Macmillan Education UK, 1997. http://dx.doi.org/10.1007/978-1-349-25434-7_6.

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Harasheh, Murad. "Financial Valuation Aspects." In Global Commodities. Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-64026-2_5.

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Katsikas, Dimitris. "European Union’s Democratic Legitimacy after the MoUs: The Political Legacy of an Economic Crisis." In Financial Crisis Management and Democracy. Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-54895-7_5.

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AbstractThis chapter focuses on two significant aspects of crisis management in the Eurozone: (a) its democratic legitimacy and (b) its socioeconomic consequences. The two issues are very important, since both the socioeconomic effects of an adjustment program and its democratic credentials determine to a large extent its “ownership” by local societies and consequently its chances of success. Effectively, these two aspects refer to the “input” and “output” side of democratic legitimacy, that is, to legitimation through democratic processes and representation, and policy outcomes respectively. The analysis evaluates the first aspect of the legitimacy equation using criteria derived from democratic theory and applying them to the governance structure of the bailout programs. On the second aspect of legitimacy, that of outcomes, the socioeconomic consequences of the crisis management are reviewed, and their distributive aspects discussed. The chapter demonstrates that the EU’s legitimacy has suffered along both aspects as a result of the crisis and the way it was handled. This leaves the EU in a particularly vulnerable state in the event of a future crisis.
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Gurtner, Bruno. "Aspects Of Development Financing After the Financial and Economic Crisis." In International Development Policy: Energy and Development. Palgrave Macmillan UK, 2011. http://dx.doi.org/10.1007/978-0-230-31401-6_9.

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Sportel, Iris. "Financial Aspects of Divorce." In Divorce in Transnational Families. Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-34009-8_7.

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Pettinger, Richard. "Financial aspects of management." In Introduction to Management. Macmillan Education UK, 1997. http://dx.doi.org/10.1007/978-1-349-14383-2_10.

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Butler, Alan, Christine Oldman, and John Greve. "Financial and Economic Aspects." In Sheltered Housing for The Elderly. Routledge, 2021. http://dx.doi.org/10.4324/9781003194804-8.

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Harasheh, Murad. "Financial Aspects of Commodities." In Global Commodities. Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-64026-2_4.

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Schmidt, Ruth A., and Helen Wright. "Reconciliation of Financial Statements." In Financial Aspects of Marketing. Macmillan Education UK, 1996. http://dx.doi.org/10.1007/978-1-349-25020-2_5.

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Conference papers on the topic "Aspect financier"

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Učkar, Dean. "Is Capital Structure Important in Contemporary Finance Relations?" In Organizations at Innovation and Digital Transformation Roundabout. University of Maribor Press, 2020. http://dx.doi.org/10.18690/978-961-286-388-3.66.

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t The various combinations of sources of financing that a business uses in its operations have multiple impacts on the generation of its cash flow. Such influence can be viewed from the aspect of forming the total cost of financing the company, from the aspect of investments where such an indicators represents the minimum level of required profitability of investment projects, as well as from the aspect of investors in an enterprise where different capital structure carries with it a different level of financial risk. It is therefore not surprising that there is considerable scientific interes
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Emanova, A. A., and T. A. Stavrova. "On the need for comprehensive improvement of state control and supervision in the sphere of financial legal relations." In VIII Information school of a young scientist. Central Scientific Library of the Urals Branch of the Russian Academy of Sciences, 2020. http://dx.doi.org/10.32460/ishmu-2020-8-0026.

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In each state, organization of the management over public finances plays a crucial role, and a well-established management system is an integral part of public administration. In order to ensure the stability and balance of the country's economy, the task of improving the effectiveness of the state financial management is one of the most important tasks of the state. The result of risk management in the economy, as well as the socio-economic well–being of citizens (and of other aspects) depends on how the issue of the management in the sphere of public (state) Finance is resolved in society.
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Bubnova, Yu B. "Financial Markets Security: Tax Aspect." In International Scientific Conference "Far East Con" (ISCFEC 2020). Atlantis Press, 2020. http://dx.doi.org/10.2991/aebmr.k.200312.121.

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Акимова, Е. Н., and Ю. М. Мелихова. "Some Aspects of Fraud in the Field of Personal Finance." In Современное образование: векторы развития. Роль социально-гуманитарного знания в подготовке педагога: материалы V международной конференции (г. Москва, МПГУ, 27 апреля – 25 мая 2020 г.). Crossref, 2020. http://dx.doi.org/10.37492/etno.2020.37.50.017.

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мошенничество в сфере личных финансов в настоящее время приобретает все большие масштабы. С развитием компьютерных технологий появляются новые способы отъема денег у граждан. В статье рассматриваются различные виды мошенничества в сфере личных финансов (оформление кредита по фальшивым документам, «семейное мошенничество», воровство с кредитных карт и др.) и даются рекомендации, как не попасться на уловки финансовых мошенников. Fraud in the field of personal Finance is now becoming more widespread. With the development of computer technologies, new ways of withdrawing money from citizens appear
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Piazza, G., L. Bressan, and L. Fadabini. "IGCC: The Italian Answer to the Heavy Oil Surplus." In ASME 1997 Turbo Asia Conference. American Society of Mechanical Engineers, 1997. http://dx.doi.org/10.1115/97-aa-111.

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The design, construction and operation of an IGCC cogeneration plant requires commercial planning, regulatory processing and financial coordination as well as technical engineering. This paper is an overview of the ISAB Energy Project a heavy oil fueled IGCC cogeneration plant that produces electric power and process steam. Crucial activities before and after design include formation of the equity partnership, early feasibilities studies, basic design and permitting, structuring of cogeneration contracts, and financing the project. Particular attention is given to the parties involved in proje
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Nechaev, A. S., and E. A. Ilina. "Stimulating Enterprises' Innovation Activity: Financial Aspect." In Proceedings of the Internation Conference on "Humanities and Social Sciences: Novations, Problems, Prospects" (HSSNPP 2019). Atlantis Press, 2019. http://dx.doi.org/10.2991/hssnpp-19.2019.138.

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Khalitova, Madina Muratovna, and Saule Baltabekovna Toleubayeva. "FOREIGN EXPERIENCE IN IMPROVING THE FINANCIAL LITERACY OF THE SOCIETY." In XV Международная научно-практическая конференция «Научные междисциплинарные исследования». KDU, Moscow, 2021. http://dx.doi.org/10.31453/kdu.ru.978-5-7913-1194-8-2021-221-228.

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The global upheavals of recent years have had a serious impact on the personal well-being of citizens. It becomes important for a person to effectively manage the family budget, which requires increasing the level of knowledge about finance, economics, investments, etc. The purpose of the report is to study foreign experience and Kazakhstan's experience in improving financial literacy. Practice shows that the formation of financial literacy, instilling culture and reasonable, rational behavior is necessary for society and the economy as a whole. It is possible to achieve such results by changi
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Khalitova, Madina Muratovna, and Saule Baltabekovna Toleubayeva. "FOREIGN EXPERIENCE IN IMPROVING THE FINANCIAL LITERACY OF THE SOCIETY." In XV Международная научно-практическая конференция «Научные междисциплинарные исследования». KDU, Moscow, 2021. http://dx.doi.org/10.31453/kdu.ru.978-5-7913-1194-8-2021-221-228.

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Abstract:
The global upheavals of recent years have had a serious impact on the personal well-being of citizens. It becomes important for a person to effectively manage the family budget, which requires increasing the level of knowledge about finance, economics, investments, etc. The purpose of the report is to study foreign experience and Kazakhstan's experience in improving financial literacy. Practice shows that the formation of financial literacy, instilling culture and reasonable, rational behavior is necessary for society and the economy as a whole. It is possible to achieve such results by changi
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Forkun, Iryna, Iryna Kravets, Olga Harvat, and Tetyana Gordeeva. "Social security system: financial aspect of functioning." In Proceedings of the 6th International Conference on Strategies, Models and Technologies of Economic Systems Management (SMTESM 2019). Atlantis Press, 2019. http://dx.doi.org/10.2991/smtesm-19.2019.25.

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Dendiberya, Maksim Yu. "The Financial Aspect Of Money Laundering Operations." In International Scientific Conference. European Publisher, 2022. http://dx.doi.org/10.15405/epsbs.2022.06.25.

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Reports on the topic "Aspect financier"

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Kovacs, P., G. Beal, M. Golnaraghi, P. Koval, G. McBean, and B. Li. Divulgation, litiges et aspects financiers liés aux changements climatiques. Natural Resources Canada/CMSS/Information Management, 2021. http://dx.doi.org/10.4095/328405.

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Miller, Gary W., and Gary W. Miller. Financial aspects of partial cutting practices in central Appalachian hardwoods. U.S. Department of Agriculture, Forest Service, North Central Research Station, 1993. http://dx.doi.org/10.2737/ne-rp-673.

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Ray, Saon, Peter Morgan, and Vasundhara Thakur. Digital Financial Inclusion and Literacy from a G20 Perspective. Asian Development Bank Institute, 2022. http://dx.doi.org/10.56506/uxoq1249.

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Digital financial inclusion refers to “deployment of the cost-saving digital means to reach currently financially excluded and underserved populations with a range of formal financial services suited to their needs that are responsibly delivered at a cost affordable to customers and sustainable for providers” (World Bank 2014). In this policy brief, we discuss digital finance and literacy from the perspective of G20 countries. The layout of the policy brief is as follows: in Section 2 we discuss digital financial inclusion and literacy from the lens of income inequality, gender gap, and digita
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Granada, Isabel, Pier Saraceno, and Anna Camilo. The Importance of Financial Information in the Transport Sector: an Encouragement to New Outlooks and Perspectives in Light of the IDB's Vision 2025. Inter-American Development Bank, 2022. http://dx.doi.org/10.18235/0004152.

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Services in the transport sector in Latin America & the Caribbean are provided mainly by private enterprises of different sizes. However, as technical transport specialists, our knowledge and understanding of their management strategies and financial objectives remains limited. Most of the sectorial attention is rightly dedicated to the analysis of the effectiveness and efficiency of the products/services provided by companies, leaving out of the picture the focus on the “business” side of their structures and operations. Such lack of awareness can be linked to several reasons. But one of
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Buiter, Willem. Structural and Stabilization Aspects of Fiscal and Financial Policy in the Dependent Economy. National Bureau of Economic Research, 1986. http://dx.doi.org/10.3386/w2023.

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Perdomo Quevedo, Marlio Daniel, Luis Carlos Celis Parra, and Sandra Perdomo Parede. Reflexiones de educación financiera aplicada al endeudamiento. Universidad Nacional Abierta y a Distancia, 2022. http://dx.doi.org/10.22490/ecacen.4269.

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El presente artículo de reflexión no derivado de resultados de investigación, subyace de un proyecto en curso que pretende analizar los hábitos y niveles de endeudamiento de jóvenes universitarios pertenecientes a los Programa de Administración de Empresas de Instituciones de Educación Superior de la ciudad de Florencia. Por tal motivo, el documento destaca la importancia de educarse en aspectos financieros que permitan llevar una vida de tranquilidad mientras se cuida el bolsillo, pues es común encontrar que los individuos y grupos familiares con frecuencia se ven involucrados en altercados d
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Melo-Becerra, Ligia Alba, and Jorge Enrique Ramos-Forero. Algunos aspectos fiscales y financieros del sistema de salud en Colombia. Banco de la República, 2010. http://dx.doi.org/10.32468/be.624.

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Qiao, Baoyun, Xiaoqin Fan, Hanif Rahemtulla, Hans van Rijn, and Lina Li. Critical Issues for Fiscal Reform in the People’s Republic of China Part 1: Revenue and Expenditure Management. Asian Development Bank, 2022. http://dx.doi.org/10.22617/wps220575-2.

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This paper examines revenue and expenditure management in the People’s Republic of China (PRC) and recommends ways to cut risk and strengthen the resilience of the fiscal system. The paper outlines the PRC’s fiscal reforms and the impact of COVID-19. It notes the financing gap facing subnational governments that play a key role in providing public investment in infrastructure. The authors discuss the PRC’s need to adjust its focus on economic growth to tackle its fiscal imbalance, improve the sustainability of local government finances, and address inequality and environmental degradation. Thi
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Astudillo, Jhonatan A., Carlos Garcimartín, and Christian Schneider. Hacia el desarrollo y la sofisticación del sector financiero de Panamá. Inter-American Development Bank, 2021. http://dx.doi.org/10.18235/0003056.

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El sistema financiero panameño es uno de los grandes activos del país. Ha acompañado la fuerte expansión económica que ha permitido a Panamá convertirse en la nación con mayor PIB per cápita de América Latina. Sin embargo, en los últimos años ha venido perdiendo competitividad, presencia en la economía y atractivo para los inversores extranjeros. El objetivo de este trabajo es, justamente, analizar su desempeño reciente, evaluar su nivel de desarrollo y competitividad y ofrecer posibles alternativas para su modernización y para aumentar su capacidad como promotor de una recuperación económica
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Bielinskyi, Andrii O., Serhii V. Hushko, Andriy V. Matviychuk, et al. Irreversibility of financial time series: a case of crisis. Криворізький державний педагогічний університет, 2021. http://dx.doi.org/10.31812/123456789/6975.

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The focus of this study to measure the varying irreversibility of stock markets. A fundamental idea of this study is that financial systems are complex and nonlinear systems that are presented to be non-Gaussian fractal and chaotic. Their complexity and different aspects of nonlinear properties, such as time irreversibility, vary over time and for a long-range of scales. Therefore, our work presents approaches to measure the complexity and irreversibility of the time series. To the presented methods we include Guzik’s index, Porta’s index, Costa’s index, based on complex networks measures, Mul
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