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Dissertations / Theses on the topic 'Debt stability'

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1

Ivanova, Toneva Mariya. "Local government debt in Spain: Spatial effects and budgetary stability." Doctoral thesis, Universitat Jaume I, 2020. http://hdl.handle.net/10803/668782.

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This doctoral thesis analyses a number of issues within the domain of local administration; issues such as local indebtedness, spatial effect on local debt and the law of financial sustainability and budgetary stability. The thesis is presented in three sections. After a brief introduction, the first section examines the indebtedness of Spanish town councils during the period 1997-2017, and the main legislative modifications introduced at both European and national level. A review of the main contributions made by the relevant literature on public debt, taken from different approaches and pers
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Hühnerbein, Ossip Robert. "Sovereign Debt Contracts and Financial Stability in Emerging Market Economies." Diss., lmu, 2007. http://nbn-resolving.de/urn:nbn:de:bvb:19-73022.

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Sedghi, Khorasgani Hossein. "Essays on financial stability in EMEAP countries." Thesis, University of Leicester, 2011. http://hdl.handle.net/2381/10069.

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This thesis analyses financial stability in eight members of the Executives’ Meeting of East Asia-Pacific Central Banks (EMEAP) economies. One of the factors that may increase financial imbalances (and hence it affects financial stability of an economy) is the accumulated outstanding debt of the economic agents. For example, the corporate sector’s outstanding debt can negatively affect activity of lenders and hence the capabilities of the economy. Since banks are important financial intermediaries in most financial systems, the financial status of banking sector is also important to analyse fi
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Павловська, Є. О. "Рівень боргової безпеки та рівень забезпечення боргової стійкості України". Thesis, Гельветика, 2013. http://essuir.sumdu.edu.ua/handle/123456789/59352.

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Головними показниками фінансової стабільності країни виступає обслуговування та погашення державного боргу у визначений термін. Якщо країна виконує такі вимоги, то перед нею відкривається у повному обсязі можливість отримання нових позик на вигідних умовах, а також за країною закріплюється імідж надійного позичальника.<br>The main indicators of financial stability performs servicing and repayment of public debt during this period. If a country fulfills these requirements, then before it opens fully getting new loans on favorable terms, as well as the countries fixed image as a reliable borrowe
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Кубах, Тетяна Григорівна, Татьяна Григорьевна Кубах, and Tetiana Hryhorivna Kubakh. "State debt of Ukraine: a retrospective analysis." Thesis, Sumy State University, 2021. https://essuir.sumdu.edu.ua/handle/123456789/83975.

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Державний борг - одна з тих складових, яка відіграє найважливіше значення значення в економіці більшості країн світу і виступає як одна з найпотужніші важелі макроекономічної стабільності держави. Сучасна економічна трансформації, системи реформування суспільного значення, прогресивні розвиток і підтримка конкурентних позицій неможливі без значні інвестиції, мобілізація яких у більшості випадків відбувається за рахунок коштів внутрішніх та зовнішніх позик, що безумовно призводить до державного боргу.<br>Государственный долг является одним из тех компонентов, которые играют наиболее важную
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Oškerová, Kateřina. "Návrh na zajištění finanční stability podniku." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2007. http://www.nusl.cz/ntk/nusl-221581.

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This master´s thesis asses the financial situation of the ralated company in the years 2002 to 2005 at the basis of sesecte methods of the financial anlaysis. It comprieses proposals of possible solutions of identified probléme which should result in the improvement of financial situation of the rirm in future years.
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Sebhatu, Josef. "Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies." Thesis, KTH, Industriell ekonomi och organisation (Inst.), 2018. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-226166.

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What is the optimal interaction between macroprudential and fiscal policy to foster financial stability? This thesis evaluates whether policy interaction can impact private debt growth. First, a model is built with borrowing constraints that illustrate the links between private and public debt dynamics. The derived hypothesis and theoretical predictions indicate that a tighter macroprudential stance is reinforced by prudential fiscal policies, conditional on the initial level of public debt and scope for countercyclical fiscal policies. Second, the hypothesis is tested by using a dynamic panel
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Evaldsson, Matilda. "Has EMU Led to Higher Debt Levels? : -A Dynamic Panel Data Estimation." Thesis, KTH, Industriell ekonomi och organisation (Inst.), 2012. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-120396.

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Europe is in the midst of its deepest crisis since the 1930s where unsustainable debt-to-GDP levels are among the most alarming issues. It is so critical that it is unsure if the Euro can be saved. The risk of moral hazard increases within EMU when governments are taking too much risk in their public debt policies due to the anticipation that ECB or other Member States would eventually bail them out. Moreover, the SGP imposes restrictions on government deficits and debts but have previously failed to enforce them. The weakness seen in the past is that no sanctions have been put in place once t
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Černohorský, David. "Krizové aspekty dluhu Itálie." Master's thesis, Vysoká škola ekonomická v Praze, 2014. http://www.nusl.cz/ntk/nusl-193468.

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The work examines the hypothesis that the Italian debt has already reached its critical level and the creditors no longer trust the country. I concluded that it's far from having reached its critical level. Despite the rising debt and internal problems, Italy borrows more cheaply than before and thanks to economic growth and some reforms we can expect this trend to continue. On the other hand, the country still has major structural problems and struggles with high unemployment and declining competitiveness. In the case of failure to introduce necessary reforms, in a longer-term can Italy suffe
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Byrtusová, Eva. "Analýza dopadu evropská dluhové krize na stabilitu finančních institucí." Master's thesis, Vysoká škola ekonomická v Praze, 2012. http://www.nusl.cz/ntk/nusl-162865.

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Banking crisis and following sovereign debt crisis are the cause of some changes on the financial market. This thesis is mainly focused on the debt crisis and its impact on financial sector stability. Roots, consequences and probable solutions of the debt crisis are also examined. Among analysed solutions were included proposals for financial transaction tax, stability bonds and regulation under new concept of CRD IV, bail-in and federalization of the eurozone. Analysed are also ratings, fiscal policy and optimality of the euro currency areas and its impact on stability of financial institutio
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Zábražná, Adela. "Premena menovej politiky ECB v dôsledku finančnej a dlhovej krízy." Master's thesis, Vysoká škola ekonomická v Praze, 2012. http://www.nusl.cz/ntk/nusl-136318.

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The thesis analyses the change of monetary policy of the European central bank during financial and sovereign debt crisis. Main focus of the thesis is given on the analysis of non-standard measures of monetary policy of the ECB. This thesis explains in detail how the ECB has responded to the various phases of the financial and debt crisis, starting with the period of financial turmoil, continuing with the intensification of the financial crisis and the sovereign debt crisis. Finally, the thesis compares these phases and assesses the impact of these non-standard measures.
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Böhmerová, Petra. "Vonkajšia ekonomická rovnováha Slovenskej republiky." Master's thesis, Vysoká škola ekonomická v Praze, 2009. http://www.nusl.cz/ntk/nusl-11033.

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The objective of the thesis is to analyze the external economic stability of the Slovak republic. First part of the thesis explains fundamental theories of the balance of payments, its structure and equalizing mechanisms. The analysis of the external economic stability is based on the development of the balances of payments between the years 2000 and 2008. The analysis of the external debt and the international investment position are also involved to complete the image of the Slovak external economic stability.
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Пашкова, А. В., та A. V. Pashkova. "Совершенствование учетно-аналитической системы управления коммерческими расчетами для обеспечения финансовой устойчивости предприятия : магистерская диссертация". Master's thesis, б. и, 2020. http://hdl.handle.net/10995/91881.

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В рамках ожесточенной конкурентной борьбы перед предприятиями особенно остро стоит вопрос обеспечения непрерывности и устойчивости деятельности. В связи с этим актуальным направлением совершенствования хозяйствования в рамках текущей экономической действительности является повышение финансовой устойчивости компаний. Для того чтобы эффективно управлять ими, создавая резервы и повышая финансовый потенциал предприятия, необходимо выстроить грамотную финансовую политику коммерческих расчетов, которая позволит руководителям и владельцам бизнеса оперативно реагировать на вызовы рынка и создавать уст
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14

Zimmermann, Claus D. "A contemporary concept of monetary sovereignty." Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:6ee49e71-ba23-4fe5-999c-ec0db325aaf4.

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This thesis analyses whether the concept of monetary sovereignty evolves under the impact of globalization and financial integration, and provides a framework for assessing what this implies. Thereby, this thesis contributes to a better understanding of both the contemporary exercise of sovereign powers in monetary and financial matters and of the driving forces behind the evolution of international law in this field. As elaborated in chapter 1, the contemporary concept of monetary sovereignty proposed by this thesis is not static but dynamic in nature. Due to the dual nature of sovereignty as
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15

Lengfeld, Holger. "Die Kosten der Hilfe." Universitätsbibliothek Leipzig, 2014. http://nbn-resolving.de/urn:nbn:de:bsz:15-qucosa-158116.

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In diesem Beitrag frage ich [...], ob die Bürger Deutschlands den Einstieg der EU in die transnationale finanzielle Hilfe unterstützen, d.h. ob sie sich transnational fiskalpolitisch solidarisch zeigen. Unter transnationaler fiskalpolitischer Solidarität verstehe ich eine Zahlungsbereitschaft, die überschuldeten EU-Ländern, die sich in einer akuten wirtschaftlichen Notlage befinden, zugutekommen soll. In diesem Beitrag konzentriere ich mich auf Deutschland, unter anderem deshalb, weil es bisher den größten Anteil zur Stabilisierung der überschuldeten Länder in der Eurozone geleistet und damit
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Stockhammer, Engelbert. "The finance-dominated accumulation regime, income distribution and the present crisis." Inst. für Volkswirtschaftstheorie und -politik, WU Vienna University of Economics and Business, 2009. http://epub.wu.ac.at/136/1/document.pdf.

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The paper discusses the interactions of changes in income distribution and the accumulation dynamics in the post-Fordist accumulation regime in OECD countries, which is characterized by deregulated financial markets. The neoliberal mode of regulation came with a decisive shift in power relations at the expense of labor, which is clearly reflected in the fall of wage shares across OECD economies. The notion of a "finance-dominated" accumulation regime is proposed to highlight that financial developments crucially shape the pattern and the pace of accumulation. Financial globalization has relaxe
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Malinová, Lucie. "Stabilita eurozóny v kontextu dopadů ekonomické krize." Master's thesis, Vysoká škola ekonomická v Praze, 2011. http://www.nusl.cz/ntk/nusl-113616.

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The aim of the thesis is to evaluate the stability of the euro area in the context of the impact of the economic crisis. The work is divided into three chapters. The theory of optimum currency area was identified as a fundamental theoretical basis for subsequent analysis, and then Ireland and Portugal were chosen as the two countries representing vulnerable economies, which have been subjected to more detailed examination and comparison. These two parts were for the coherence of the whole work set in the historical context of European monetary integration. The first part deals with a theory of
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Štroblíková, Lada. "Návrh na zajištění finanční stability." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2007. http://www.nusl.cz/ntk/nusl-221536.

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This work process sphere of financial statements of selected company during the years 2003 – 2006. The theory financial analysis, its methods and tools, are discribed in the first part of this thesis. The financial analysis performed in analytic part of this thesis. Profitability ratios, asset management ratios, dept management ratios, liquidity ratios, Index IN and Altman index were used.. The work objektive of this master´s thesis is disclosure of problematic areas and proposal improvment of claim management.
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Westin, Robin. "Three material decomposition in dual energy CT for brachytherapy using the iterative image reconstruction algorithm DIRA : Performance of the method for an anthropomorphic phantom." Thesis, Linköpings universitet, Institutionen för medicinsk teknik, 2013. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-91297.

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Brachytherapy is radiation therapy performed by placing a radiation source near or inside a tumor. Difference between the current water-based brachytherapy dose formalism (TG-43) and new model based dose calculation algorithms (MBSCAs) can differ by more than a factor of 10 in the calculated doses. There is a need for voxel-by-voxel cross-section assignment, ideally, both the tissue composition and mass density of every voxel should be known for individual patients. A method for determining tissue composition via three material decomposition (3MD) from dual energy CT scans was developed at Lin
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Остапенко, Олексій Анатолійович, та Oleksii Anatoliiovych Ostapenko. "Покращення фінансового стану підприємства шляхом управління капіталом". Master's thesis, СумДПУ імені А. С. Макаренка, 2021. http://repository.sspu.edu.ua/handle/123456789/12068.

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Об’єкт дослідження – результати фінансової діяльності ТОВ «Медтехніка-Суми». Предметом дослідження є взаємозв’язки та залежності фінансових явищ і процесів, формуючих фінансовий стан підприємства. Мета магістерської роботи – проведення аналізу фінансового стану підприємства та розробка заходів щодо його покращення на основі управління капіталом. У магістерській роботі розглянуто теоретичні та методичні аспекти проведення аналізу фінансового стану підприємства; проведено комплексний аналіз фінансового стану ТОВ «Медтехніка-Суми»»; досліджено можливості покращенні фінансового стану підприємс
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Adalid, Sébastien. "La BCE et l’Eurosystème : exemple d’intégration verticale." Thesis, Lyon 3, 2012. http://www.theses.fr/2012LYO30086/document.

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La banque centrale européenne (bce) n'est pas une institution au sens des traités communautaires. pourtant elle dispose, à l'image des institutions, de pouvoirs législatifs et exécutifs. au sens du droit communautaire, la bce est un &lt;&gt;, elle jouit donc de la personnalité juridique. dans le paysage institutionnel de l'union, la bce est la seule à disposer à la fois de pouvoirs législatifs et exécutifs et de la personnalité morale. il convient de ce fait de se poser la question de la place de la bce dans ce paysage institutionnel. de plus, les pouvoirs de la bce et leur exercice sont extrê
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Mathieu-Job, Martine, and Gérard Thomas. "Fiabilite dimensionnelle des dents prothetiques posterieures : etude metrologique et analyse statistique." Nancy 1, 1989. http://www.theses.fr/1989NAN13401.

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Persson, Erold. "Multicast Time Distribution." Thesis, Linköping University, Department of Electrical Engineering, 2004. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-2274.

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<p>The Swedish National Testing and Research Institute is maintaining the Swedish realization of the world time scale UTC, called UTC(SP). One area of research and development for The Swedish National Laboratory of Time and Frequency is time synchronization and how UTC(SP) can be distributed in Sweden. Dissemination of time information by SP is in Sweden mainly performed via Internet using the Network Time Protocol (NTP) as well as via a modem dial up service and a speaking clock (Fröken Ur). In addition to these services, time information from the Global Positioning System (GPS) and from the
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Hedlundh, Sophie. "Klimatförändringar – Ett hot mot finansiell stabilitet? : En analys av klimatförändringarnas påverkan på det finansiella systemet och EU:s kommande förordningar." Thesis, Uppsala universitet, Juridiska institutionen, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-431595.

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Torstensson, Moa. "En välutbildad befolkning med höga inkomster: det största hotet mot ett lands ekonomi? : En studie om ålderns, utbildningens och inkomstens påverkan på skuldkvoten." Thesis, Uppsala universitet, Nationalekonomiska institutionen, 2018. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-355575.

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Den stigande skuldsättningen bland svenska hushåll utgör idag det största hotet mot den finansiella stabiliteten i landet. De åtgärder som vidtagits för att minska de risker förknippade med den höga skuldsättningen har främst riktats mot unga hushåll och hushåll med lägre inkomster. I denna uppsats undersöks därför om det går att finna något samband mellan individer med en högre inkomst respektive utbildning och skuldkvoten, om det går att finna ett åldersmönster för de med höga skuldkvoter samt om undersökningen stödjer livscykelhypotesen eller den permanenta inkomsthypotesen. Undersökningen
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Oscarsson, Gustav, and Patric Johansson. "Går det att förbättra postural kontroll och ankelproprioception genom balansträning på stabilt respektive instabilt underlag hos friska unga vuxna? : En randomiserad kontrollerad pilotstudie." Thesis, Luleå tekniska universitet, Hälsa och rehabilitering, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:ltu:diva-74150.

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Inledning: Balans eller postural kontroll är en fundamental sensomotorisk funktion för att kunna hålla sig upprätt. Ett viktigt sensoriskt system för den posturala kontrollen är proprioceptionen, vilken bidrar till god precision, ledstabilitet, koordination och balans vid rörelse. Den mekanoreceptor som anses ha störst betydelse för proprioceptionen är muskelspolen, vilken har till uppgift att registrera och reglera längd och förändring av längd hos en muskel. Det går att träna upp sin balans genom träning på instabilt underlag men det är oklart huruvida ankelproprioception påverkas. Syfte: St
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Ekström, Jens-Ola. "Ljungan Virus Replication in Cell Culture." Doctoral thesis, Högskolan i Kalmar, Naturvetenskapliga institutionen, 2007. http://urn.kb.se/resolve?urn=urn:nbn:se:hik:diva-10.

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Ljungan virus (LV) is a recently identified picornavirus of the genus Parechovirus. LV has been isolated from voles trapped in Sweden and also in the United States. LV infected small rodents may suffer from diabetes type 1 and type 2 like symptoms, myocarditis and encephalitis. LV has been proposed as a human pathogen, with indications of causing diabetes type 1, myocarditis and intrauterine fetal deaths. In this thesis, cell culture adapted LV strains were utilised for development and adaptation of several basic methodological protocols to study the LV biology, e.g. real time PCR, highly spec
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LYU, LI-JHEN, and 呂秝溱. "Investment Stability, Firm Risk and Cost of Debt." Thesis, 2018. http://ndltd.ncl.edu.tw/handle/48fxfz.

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碩士<br>元智大學<br>財務金融暨會計碩士班(財務金融學程)<br>106<br>This study investigates whether the stability of the firm's investment expenditures affects firms’ risks and costs of debt. According to information asymmetry and agency theory, managers of firms often have over-investment or under-investment for their own profits, causing the problems of unstable investment expenditures, in turn causing large fluctuations of firm's future operating income and net profit. The empirical results of this study therefore show that the more unstable firm's investment expenditures will increase the volatility of firm's stoc
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Chung, Hsinpei, and 鍾欣倍. "European Sovereign Debt Crisis, Credit Risk And The Stability Of International Finance Policy." Thesis, 2012. http://ndltd.ncl.edu.tw/handle/4yqesq.

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碩士<br>國立暨南國際大學<br>經濟學系<br>100<br>European sovereign debt crisis occurred since 2010, which arose from the Greek government credit risks as well as led Euro to depreciate.To explore the long-run effect of credit risks in government debt market on the equilibrium real exchange rate and price levels, this study purposes to construct a symmetric two-country model by assuming that agents take adaptive learning process. That is, the paper studies the role of the credit risks in the relationships between agents’ expectations and the stability of government’s international finance policy. Moreover, this
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Hühnerbein, Ossip Robert [Verfasser]. "Sovereign debt contracts and financial stability in emerging market economies / vorgelegt von Ossip Robert Hühnerbein." 2007. http://d-nb.info/985562390/34.

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Karge, Johannes Rainer. "Macroeconomic fluctuations and private debt in the Euro Area: a favar approach." Master's thesis, 2021. http://hdl.handle.net/10362/121842.

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Mesquita, António Gonçalves Porto Pinto de. "Til debt do us part : the enforceability of council´s country-specific recommendations under the excessive deficit procedure." Master's thesis, 2018. http://hdl.handle.net/10400.14/27368.

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Under Article 126 TFEU “Member States shall avoid excessive government deficits”. Member States are still in charge of their own budgetary policies, but they are still under the scope of the Treaties. Paragraph 7 of Article 126 states that “Where the Council decides, in accordance with paragraph 6, that an excessive deficit exists, it shall adopt, without undue delay, on a recommendation from the Commission, recommendations addressed to the Member State concerned with a view to bringing that situation to an end within a given period. Subject to the provisions of paragraph 8, these recommendati
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Matoušková, Hana. "Postavení a činnost Evropské centrální banky." Master's thesis, 2013. http://www.nusl.cz/ntk/nusl-341930.

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The aim of this diploma thesis is to evaluate what influence has the ECB decision-making on the Eurozone economy and above all to consider the ECB's involvement in solving of the recent financial and persisting European debt crisis. First two chapters represent rather a theoretical part of the thesis, in which the author is dealing generally with the importance and the role of the ECB in the course of the European integration, including its origin, its management structure and internal decision-making process. The second chapter focuses in detail on the ECB's tasks and competencies with emphas
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Assunção, João Rafael Fonseca Ramos Aleixo. "Um Português, um Grego e um Alemão entram no EURO... Uma abordagem crítico-reflexiva sobre os desafios económicos e de governança democrática da União Monetária Europeia." Master's thesis, 2020. http://hdl.handle.net/10316/92661.

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Dissertação de Mestrado em Direito apresentada à Faculdade de Direito<br>A presente dissertação pretende contribuir para o debate relacionado com a construção do projeto europeu, particularmente da sua União Monetária, por dela resultarem efeitos substanciais no sistema político composto pelos órgãos de soberania nacionais e no bem-estar dos cidadãos europeus. Neste contributo, o que se pretende é a defesa intransigente de uma posição europeísta, apesar de a não escusar à crítica associada às inegáveis restrições económicas e orçamentais aos países mais pobres em fases de recessão, bem como a
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Лопухова, І. М. "Облік і контроль дебіторької заборгованості: сучасний стан і напрями удосконалення (на прикладі КП «Теплопостачання міста Одеси»)". Thesis, 2019. http://dspace.oneu.edu.ua/jspui/handle/123456789/11348.

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У роботі розглядаються законодавче регулювання, концептуальні основи та особливості ведення обліку, контролю та аналізу розрахунків дебіторської заборгованості на КП «Теплопостачання міста Одеси». Розглянуто теоретичні та економічні аспекти обліку дебіторської заборгованоті. Проаналізовано документальне оформлення дебіторської заборгованості. Визначено сучасну проблематику обліку. Запропоновано заходи щодо усунення недоліків в механізмі управління дебіторською заборгованістю. Досліджено організацію контролю заборгованості на підприємстві. Здійснено аналіз розрахунків дебіторської заборговано
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Khandoker, Tajkira. "A stock-flow-consistent model of macroeconomic and financial instability." Thesis, 2019. http://hdl.handle.net/1959.13/1397937.

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Research Doctorate - Doctor of Philosophy (PhD)<br>While the 2007-2008 global financial crisis (GFC) began as a localised financial disturbance due to the collapse of the US real estate boom, it quickly transformed into a global economic downturn due to the inter-connectivity of the international financial system. The aim of this study has been to analyse the underlying causes of the 2007–2008 GFC through a stock-flow-consistent macroeconomic modelling approach (SFC). Economists following the Post-Keynesian tradition believe that the slackening aggregate demand in both the US and in many other
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Curran, Kevin. "Zpětné odkupy akcií a implikace pro finanční stabilitu." Master's thesis, 2021. http://www.nusl.cz/ntk/nusl-448469.

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Share repurchases reached a decade-high level in 2019, just as US equity indices reached a historical zenith, a move in tandem that supports more than merely a correlative relation. However, this relationship moves beyond that of just a close tandem move in indices alongside share repurchases, but to the behavior of firms which began to leverage themselves in order to promote the evermore profitable strategy of large buyback programs. Those repurchases indicate an idiosyncratic and procyclical leveraging that, while much smaller in scope and less combustible by lack of derivative amplification
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Оніщенко, А. А. "Бюджетна безпека України". Thesis, 2019. http://dspace.oneu.edu.ua/jspui/handle/123456789/10965.

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У роботі розглядаються теоретичні аспекти: сутність бюджетної безпеки, моніторинг стану бюджетної безпеки та оцінка його впливу на бюджетну політику держави, шляхи покращення бюджетної політики України.<br>Analyzed: the essence of the term "budgetary security", its place and role in the system of budgetary policy of the state; assessing the level of the budget system as a major factor in the development of social security of the country; state and dynamics of the country's budget security indicators; methods of assessing budgetary security; analysis of the legislative mechanism for ensuring th
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Шостак, І. І. "Платоспроможність підприємства та формування системи її забезпечення". Thesis, 2018. http://dspace.oneu.edu.ua/jspui/handle/123456789/7619.

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У роботі розглянуто економічну сутність, поняття та види платоспроможності підприємства, яке є складним і багатофакторним явищем, та зумовлюється економічним середовищем, а також таким, в межах якого здійснюється діяльність підприємства, і характеризується результатами його функціонування. Розглянуто основні показники, що визначають платоспроможність підприємства, та надана їх характеристика, досліджено поняття платоспроможності та ліквідності як елементів управління фінансовою діяльністю підприємств, визначено методичні підходи до аналізу ліквідності та платоспроможності підприємства. Над
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Lintvelt, Rulene Annemie. "The personal contexts of undergraduate students in social work at UNISA." Diss., 2008. http://hdl.handle.net/10500/794.

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The Department of Social Work at UNISA places the emphasis on developmental social work and trains students according to the Person Centred Approach which emphasises the uniqueness of each client. The question thus arises if this Department is indeed working with their students in a person-centred way, and if students think the Department lives out a person-centred philosophy. Exploring the personal contexts of students would give the Department of Social Work the oppor-tunity to try and find a fit between the personal contexts of students and the national requirements of training. From a p
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