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1

Kudrimoti, Sanjay. "Two essays on financial condition of firms." [Tampa, Fla] : University of South Florida, 2008. http://purl.fcla.edu/usf/dc/et/SFE0002734.

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2

Buddy, Nancy J. "Analyzing the Financial Condition of Higher Education Institutions Using Financial Ratio Analysis." Thesis, University of North Texas, 1999. https://digital.library.unt.edu/ark:/67531/metadc2194/.

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The problem concerned the financial indicators used to evaluate the financial condition of the six sister higher education institutions under the authority of the Board of Regents of Oklahoma Colleges. The purposes were to determine the financial ratios that best indicate financial condition; to calculate those financial ratios for the six designated Oklahoma higher education institutions; and to evaluate and compare the financial condition of the six institutions. This study attempted to further the use of financial ratio analysis as an objective addition to subjective studies that examine an
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3

Rabrenović, Aleksandra. "Financial accountability as a condition for EU membership." Thesis, University of Glasgow, 2007. http://theses.gla.ac.uk/2265/.

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The objective of this thesis is to provide advice on how to establish a reliable system of financial accountability in Serbia, as a condition for EU membership. The creation of a functional financial accountability system in Serbia is important not only for further Serbian development, but also to secure efficient and effective use of the EU/Member States’ monies, which are already being used in Serbia. This thesis analyses financial accountability systems of two EU Member States: UK and France and a supranational EU system, which are then compared with the Serbian system. The legal frameworks
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4

Dennis, Lynda. "DETERMINANTS OF FINANCIAL CONDITION: A STUDY OF U.S. CITIES." Doctoral diss., University of Central Florida, 2004. http://digital.library.ucf.edu/cdm/ref/collection/ETD/id/2855.

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How well a local government is able to provide for the needs and preferences of its citizens generally depends on the financial resources available; and, how such resources are allocated, distributed, and managed. Demographics, size of local government, supply and age of infrastructure, financial position of the government, and the local economy represent a few of the factors affecting what public goods and services citizens prefer. Internal systems of accounting and control affect the allocation, distribution, and management of financial resources. As such, these internal systems significantl
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5

Bowden, Craig T. "Basic dimensions of financial condition within the defense industry." Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 1998. http://handle.dtic.mil/100.2/ADA354495.

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Thesis (M.S. in Management) Naval Postgraduate School, September 1998.<br>"September 1998." Thesis advisor(s): O. Douglas Moses, James M. Fremgen. Includes bibliographical references (p. 51). Also available online.
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6

Murphy, Mark S. "Fundamental dimensions of Financial condition in the federal government." Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 2001. http://handle.dtic.mil/100.2/ADA393114.

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7

Pererva, P. G. "Crisis management mechanism of the financial condition of industrial enterprise." Thesis, NTU "KhPI", 2016. http://repository.kpi.kharkov.ua/handle/KhPI-Press/25929.

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8

Pridgen, Annette Bernice. "Analyzing the financial condition of local governments using the GASB no. 34 governmental financial reporting model /." Full text available from ProQuest UM Digital Dissertations, 2008. http://0-proquest.umi.com.umiss.lib.olemiss.edu/pqdweb?index=0&did=1799142831&SrchMode=1&sid=6&Fmt=2&VInst=PROD&VType=PQD&RQT=309&VName=PQD&TS=1258481992&clientId=22256.

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9

White, Robert M. "The primary dimensions of financial condition for firms within the defense industry." Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 1994. http://handle.dtic.mil/100.2/ADA294761.

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10

Johnstone, Jeffrey Carl, and Patrick Daniel Keavney. "Pricing Strategy, Pricing Stability and Financial Condition in the Defense Aerospace Industry." Thesis, Monterey, California. Naval Postgraduate School, 1987. http://hdl.handle.net/10945/41618.

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Approved for public release, distribution unlimited<br>All original copies missing. Best digital copy available.<br>The purpose of this research is to determine if pricing strategy and pricing stability for products in the defense aerospace industry can be predicted based on a firm's financial condition. The sample for this research includes 17 contractors and 52 missile and aircraft programs. Two separate issues are addressed. The first issue concerns the relationship between financial condition and contractor pricing strategy. The second concerns the relationship between organizational slack
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11

Vladyka, Yuliia, and Ivan Horbachov. "Comprehensive assessment of the financial status of aviation enterprises: advantages and disadvantages." Thesis, National Aviation University, 2021. https://er.nau.edu.ua/handle/NAU/54591.

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1. Poddierohin A. M. Finansy pidpryiemstv : navch. posib. Kyiv : KNEU. 2012. 406 s.<br>The focus is on conducting a comprehensive assessment of the financial condition of airlines. The advantages and disadvantages of conducting a comprehensive analysis are highlighted. Taking into account the defined preconditions, the sequence of conducting a comprehensive assessment of the financial condition of airlines has been determined.
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12

Lialina, Veronika, and L. V. Roienko. "The influence of political transformation on the condition of national finances." Thesis, Університет Григорія Сковороди в Переяславі, 2020. https://er.knutd.edu.ua/handle/123456789/16315.

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Мета статті полягає в дослідженні особливостей формування державної фінансової політики в умовах європейської інтеграції України. Досягнення поставленої мети пов’язане з виконанням та врахуванням наступних завдань: формулювання, розвиток і підтримка функціонування фінансового механізму цілей і стратегій фінансової політики та забезпечення належного регулювання, стимулювання і контролю за економічними і соціальними процесами, використовуючи фінансові методи.<br>The purpose of the article is to study the peculiarities of the formation of public financial policy in the context of European integra
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13

Bunting, Mark Bevan. "Financial characteristics of the nonprofit organisation: theory and evidence for the assessment of the financial condition of South African public universities." Thesis, Rhodes University, 2016. http://hdl.handle.net/10962/d1021298.

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In this thesis, an analytical framework is developed for the assessment of the financial condition of South African public universities. Foundational constructs of nonprofit economics are applied in the consideration of financial theories of nonprofit organisations in general, and public universities in particular. From this review, a number of hypotheses are developed. Each of these specifies a positive or negative association between a university's financial condition and a particular dimension of its assets, liabilities, equity, revenues, expenses and surplus. From the nonprofit financial a
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14

JAIN, ANUSHKA. "FINANCIAL STATEMENT ANALYSIS AND COMPARATIVE STATEMENT OF AFFAIRS OF BHUSHAN STEEL." Thesis, DELHI TECHNOLOGICAL UNIVERSITY, 2021. http://dspace.dtu.ac.in:8080/jspui/handle/repository/18345.

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EVERY COUNTY ECONOMIC CONDITION DEPENDS UPON THE PERFORMANCE OF ITS INDUSTRY. HOW THE INVESTORS ARE INTERESTED IN IT AS IT WILL HELP IN THE INCREMENT IN THE FLOW OF FOREIGN EXCHANGE. A SOUND AND WELL PERFORMING INDUSTRY WILL ALWAYS ATTRACT INVESTORS AS IT WILL GIVE THEM A RETURN IN A LESS TIME PERIOD, BUT IT IS NOT EASY FOR A LAYMAN OR TO PROPERLY ANALYYZE THE PERFORMANCE OF THE COMPANY. TO UNDERSTAND THE PERFORMANCE OF ANY COMPANY WE HAVE TO DO FINANCIAL STATEMENT ANALYSIS. RATIO ANALYSIS IS A WIDELY USED TOOL OF FINANCIAL ANALYSIS. IT IS DEFINED AS THE SYSTEMATIC USE OF RATIO TO INTERPRET TH
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15

Захаркін, Олексій Олександрович, Алексей Александрович Захаркин, Oleksii Oleksandrovych Zakharkin, Людмила Сергіївна Захаркіна, Людмила Сергеевна Захаркина, and Liudmyla Serhiivna Zakharkina. "The use of indicators of financial condition to determine the enterprise`s investment attractiveness." Thesis, Sumy State University, 2020. https://essuir.sumdu.edu.ua/handle/123456789/81033.

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Проаналізовано один з найважливіших внутрішніх чинників, які впливають на інвестиційну привабливість підприємства, - це його фінансовий стан. Для оцінки фінансового стану організації використано фінансовий аналіз, який включає в себе ряд інструментів і методів оцінки фінансового стану.<br>Проанализирован один из важнейших факторов, влияющих на инвестиционную привлекательность предприятия - это его финансовое состояние. Для оценки финансового состояния организации использовано финансовый анализ, который включает в себя ряд инструментов и методов оценки финансового состояния.<br>One of the most
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16

Наумова, Л. Ю. "Удосконалення оцінки фінансового стану позичальника". Thesis, Українська академія банківської справи Національного банку України, 2009. http://essuir.sumdu.edu.ua/handle/123456789/61941.

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17

Борисова, О. Є. "Фінансова стійкість підприємства у сучасних умовах". Thesis, Одеський національний економічний університет, 2021. http://local.lib/diploma/Borisova.pdf.

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Доступ до роботи тільки на території бібліотеки ОНЕУ, для переходу натисніть на посилання нижче<br>У роботі розглядаються теоретичні підходи до фінансової стійкості підприємства у сучасних умовах - вивчена сутність фінансової стійкості підприємства; вивчено тенденції впливу пандемії на фінансову стійкість підприємств в Україні; надано теоретичні підходи до оцінки фінансової стійкості підприємства в Україні. Проаналізовано практичні підходи оцінки фінансової стійкості підприємства у сучасних умовах в Україні - оцінена фінансова діяльність підприємства ТОВ «Фірма-Стімпекс»; охарактеризовано пра
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18

Kissane, Mark Richard Education Faculty of Arts &amp Social Sciences UNSW. "Managing levels of instructional guidance in financial services training: a cognitive load approach." Awarded by:University of New South Wales. Education, 2009. http://handle.unsw.edu.au/1959.4/41510.

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Empirical studies within a cognitive load framework have determined that for novice learners, worked examples provide appropriate levels of instructional guidance. As learners advance in specific subject domains, worked examples should be gradually replaced by practice problems with limited guidance. These studies compared immediate and delayed performance in transfer from examples to practice problems using example-problems pairs and gradual fixed fading of worked examples as well as a control condition of pure problem solving. These studies were conducted with employees of a financial servic
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19

Keith, Kevin Gerard. "Analysis of the relationship between reliance on government business and financial condition of defense firms." Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 1995. http://handle.dtic.mil/100.2/ADA301658.

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20

Brannon, William Lee. "A Study of the Relationship Between School Leadership and the Condition of School Buildings." Diss., Virginia Tech, 2000. http://hdl.handle.net/10919/26925.

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The purpose of this study was to examine the relationship between school leadership and the quality, condition, maintenance, improvements, and renovations of public school buildings. The first question examined the relationship between building conditions and perceptions of school board members, superintendent and central office staff, board of supervisors, and principals. The second question examined the relationship between building conditions and the financial support of leadership positions. The third question examined the relationship between the behavioral effort of leadership and the co
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21

Chowdhury, Soumitra. "Analysis of IT Related Financial Issues in Seven Companies of Sweden : Reasons Behind the Current Condition." Thesis, Linnaeus University, School of Computer Science, Physics and Mathematics, 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-6347.

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<p>One of the best ways to get expected results from information technology (IT) in a business organization is to have a close look at the financial issues related to it. Financial issues such as IT investment, IT costs, IT resources should be dealt with special care if any organization wants to get best result from its IT systems. The purpose of this research is to investigate the condition of IT financial issues such as IT investment, IT costs, IT resources, IT business value etc. in the selected seven organizations of Sweden and to have an understanding behind the condition. First of all, a
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22

Vormbrocke, Michael Joseph. "An analysis of the relationship between the financial condition of major defense contractors and DoD spending." Thesis, Monterey, California. Naval Postgraduate School, 1991. http://hdl.handle.net/10945/27979.

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23

Weidenmier, Marcia Lynne. "Enterprise relationship management, operating condition dynamics, and the relevance of non-financial information for management decisions /." Full text (PDF) from UMI/Dissertation Abstracts International, 2000. http://wwwlib.umi.com/cr/utexas/fullcit?p3004398.

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24

Bouressa, Robert Joseph. "Constantly vulnerable yet persistently strong: A study of the financial condition of the liberal arts college." W&M ScholarWorks, 1993. https://scholarworks.wm.edu/etd/1539618504.

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The purpose of this study is to analyze the income and expenditure patterns at three Liberal Arts I colleges in the Midwest from 1979-89. It combines from hard data from HEGIS/IPEDS financial reports and interviews with campus administrators to examine the effects the 1980s had on the institutions and makes a judgment about the financial condition of each college as they entered the 1990s. The study also examines state, local, and federal policies and presents the administrators' policy views about solutions to help ensure a financially strong sector of liberal arts colleges. It was concluded
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25

Zhuang, Yuchen. "Risk, return and market condition: a new functional-beta capital asset pricing model." Thesis, Curtin University, 2009. http://hdl.handle.net/20.500.11937/78.

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In this research, we will focus on investigating the relationship between risk and return. We will propose a new model which leads to a more sensible approach to modelling the relationship between risk and return under different market conditions. It is an extension of the traditional single-index capital asset pricing model (CAPM) which reads as: The return R[subscript]i on individual Security i can be decomposed into the specific return α[subscript]I + ε[subscript]i (expected specific return α[subscript]i and random specific return ε[subscript]i) and the systematic return β[subscript]iR[subs
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26

Spadafora, L. "ADIABATIC CONDITIONS FOR FINANCIAL SYSTEMS." Doctoral thesis, Università degli Studi di Milano, 2011. http://hdl.handle.net/2434/150559.

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In the Black-Scholes context we consider the probability distribution function (PDF) of financial returns implied by volatility smile and we study the relation between the decay of its tails and the fitting parameters of the smile. We show that, considering a scaling law derived from data, it is possible to get a new fitting procedure of the volatility smile that considers also the exponential decay of the real PDF of returns observed in the financial markets. In addiction, we show that this approach based on a volatility smile leads to relative minima for the distribution function ("ba
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27

Савченко, К. Д. "Платоспроможність підприємства та шляхи її забезпечення". Thesis, Одеський національний економічний університет, 2021. http://local.lib/diploma/Savchenko.pdf.

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Доступ до роботи тільки на території бібліотеки ОНЕУ, для переходу натисніть на посилання нижче<br>У роботі розглядаються теоретичні основи платоспроможності підприємства - вивчена сутність платоспроможності підприємства; охарактеризована інформаційна база платоспроможності підприємства; надано теоретичні основи до оцінки платоспроможності підприємства. Проаналізовано практичні основи платоспроможності підприємства ТОВ «Бізнес Просперіті» - оцінено фінансовий стан підприємства ТОВ «Бізнес Просперіті»; оцінено ліквідність та платоспроможність ТОВ «Бізнес Просперіті»; оцінено динаміку показників
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28

Кравченко, Олена Володимирівна, Елена Владимировна Кравченко та Olena Volodymyrivna Kravchenko. "Фінансове забезпечення інноваційної діяльності підприємств хімічної промисловості ( на прикладі хімічних підприємств Сумської області)". Thesis, Українська академія банківської справи Національного банку України, 2001. http://essuir.sumdu.edu.ua/handle/123456789/51740.

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Дисертаційне дослідження присвячене аналізу сучасного стану інноваційної діяльності на підприємствах хімічної галузі, а також розробці методичних підходів і практичних рекомендацій щодо активізації інноваційного процесу через підвищення ефективності використання всіх видів ресурсів. На основі узагальнення зарубіжного і вітчизняного досвіду формування інноваційного процесу поглиблено та конкретизовано визначення категорії “інновація” і визначено її основні функції, обґрунтовано схему взаємодії державних і недержавних органів, установ і фондів щодо фінансового забезпечення інноваційних процесів
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Hicky, John Stratton. "Financial condition of Government contractors and control of production costs in the procurement of major DOD aircraft weapon systems." Thesis, Monterey, California. Naval Postgraduate School, 1989. http://hdl.handle.net/10945/27054.

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Почтар, Вікторія Олександрівна. "Оцінка фінансової стійкості банку". Магістерська робота, Київський національний університет технологій та дизайну, 2021. https://er.knutd.edu.ua/handle/123456789/19303.

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Дипломну магістерську роботу присвячено дослідженню теоретичних задач та оцінки фінансової стійкості банку. На підставі проведеної аналітичної оцінки фінансового стану АТ КБ "Приватбанку" розроблено заходи щодо його удосконалення. Запропоновано основні напрями щодо більш ефективного управління ресурсною базою банку з метою подальшого зміцнення власного рівня фінансової стійкості. Були визначені проблеми залучення ресурсів та шляхи їх вирішення для АТ КБ "Приватбанк". Розроблені заходи щодо розширення ресурсної бази.<br>The master's thesis is devoted to the study of theoretical problems and ass
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31

Zhang, Jinyuan. "Conditional extremes in asymmetric financial markets." Thesis, University of British Columbia, 2015. http://hdl.handle.net/2429/54186.

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The project focuses on the estimation of the probability distribution of a bivariate random vector given that one of the components takes on a large value. These conditional probabilities can be used to quantify the effect of financial contagion when the random vector represents losses on financial assets and as a stress-testing tool in financial risk management. However, it is tricky to quantify these conditional probabilities when the main interest lies in the tails of the underlying distribution. Specifically, empirical probabilities fail to provide adequate estimates while fully parametric
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32

Kouaissah, Noureddine. "Financial Applications of the Conditional Expectation." Doctoral thesis, Università degli studi di Bergamo, 2017. http://hdl.handle.net/10446/77164.

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This dissertation examines different financial applications of some conditional expectation estimators. In the first application, we provide some theoretical motivations behind the use of the moving average rule as one of the most popular trading tools among practitioners. In particular, we examine the conditional probability of the price increments and we study how this probability changes over time. In the second application, we present different approaches to evaluate the presence of the arbitrage opportunities in the option market. In particular, we investigate empirically the well-known p
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33

Носонова, Любов В`ячеславівна, Любовь Вячеславовна Носонова та Liubov Viacheslavivna Nosonova. "Аналіз фінансового стану ВАТ Сумського заводу "Насосенергомаш"". Thesis, Видавництво СумДУ, 2010. http://essuir.sumdu.edu.ua/handle/123456789/14728.

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34

Le, Chau Ho An. "Cross-border financial linkages and international financial contagion : an empirical study of East Asia during the 2007-2011 global financial crisis." Thesis, University of Birmingham, 2013. http://etheses.bham.ac.uk//id/eprint/4455/.

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Motivated by the global financial market turbulence in 2007-2011 and the gaps from the literature, this thesis presents an econometric assessment of different transmission mechanisms that propagated and amplified shocks from advanced economies to East Asia. The asset price channel is investigated with MS-VAR model and multivariate unconditional correlation tests. The recursive bivariate probit models are applied to test the liquidity shock transmission via the sudden stop in international lending. The second round effects are examined with partial adjustment models and system GMM estimation. T
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35

Degrér, Henrik. "Empirical essays on financial economics /." Lund, 2004. http://www.lub.lu.se/luft/diss/eco_4/eco_4_transit.html.

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36

Щербина, Тетяна Володимирівна, Татьяна Владимировна Щербина, Tetiana Volodymyrivna Shcherbyna, et al. "Banking Regulation under the Global Financial Crisis Conditions." Thesis, Українська академія банківської справи Національного банку України, 2011. http://essuir.sumdu.edu.ua/handle/123456789/63699.

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У доповіді розглянуто основні напрямки змін у банківському регулювання внаслідок дії кризових явищ в Україні та Великобританії.<br>The paper researches methods and tools of monetary regulators in banking supervision in crisis period in Ukraine and Uk.
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Bauer, Lawrence L. "Regime dependent conditional volatility in financial markets." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape7/PQDD_0021/NQ46805.pdf.

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38

Клименко, А. В. "Управління фінансовою стійкістю підприємства". Master's thesis, Сумський державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/72919.

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В роботі досліджуються теоретичні та практичні основи управління фінансовою стійкістю підприємства. Автором розроблені основні шляхи удосконалення управління фінансовою стійкістю підприємства.<br>В работе исследуются теоретические и практические основы управления финансовой устойчивостью предприятия. Автором разработаны основные пути совершенствования управления финансовой устойчивостью предприятия.<br>The theoretical and practical bases of management of financial stability of the enterprise are investigated in this work. The author developed the main ways to improve the management of financia
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Xue-Bacquet, Beinan. "De la mondialisation à la condition postmoderne du droit financier." Paris 10, 2003. http://www.theses.fr/2003PA100054.

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La mondialisation financière se concrétise par l'essor des réseaux, par le transfert d'actifs et par le décloisonnement des marchés. Dans le contexte de la mondialisation, le droit financier se construit en strates multiples d'institutions relevant de différentes sources. La mondialisation entraîne une recomposition de l'action étatique qui pourrait être interprétée comme un phénomène global de transformation des acteurs de régulation. Outre la réception des normes, la régulation dans le cadre de la mondialisation soulève des questions plus complexes pour des considérations d'interaction, de l
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Петренко, О. С. "Фінансове забезпечення розвитку підприємств харчової промисловості". Thesis, Чернігів, 2020. http://ir.stu.cn.ua/123456789/20176.

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Петренко, О. С. Фінансове забезпечення розвитку підприємств харчової промисловості : магістерська робота : 072 Фінанси, банківська справа та страхування / О. С. Петренко; керівник роботи Шпомер Т. О. ; Національний університет «Чернігівська політехніка», кафедра фінансів, банківської справи та страхування. – Чернігів, 2020. – 82 с.<br>У першому розділі розкрито сутність та принципи функціонування системи фінансового забезпечення, подано характеристику джерел фінансування розвитку підприємств, визначено місце та значення фінансового забезпечення в структурі фінансового механізму. У другому роз
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Банна, О. О. "Оцінка фінансового стану компанії". Thesis, Видавництво СумДУ, 2011. http://essuir.sumdu.edu.ua/handle/123456789/11692.

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Троян, Марія Юріївна, Мария Юрьевна Троян, Mariia Yuriivna Troian, and Т. А. Передерій. "Regulation international financial markets in the conditions of globalization." Thesis, Сумський державний університет, 2020. https://essuir.sumdu.edu.ua/handle/123456789/82840.

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Розкриваються питання регулювання міжнародних фінансових ринків в умовах глобалізації<br>Раскрываются вопросы регулирования международных финансовых рынков в условиях глобализации<br>Reveals the issues of regulation of international financial markets in the context of globalization
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Aguilar, Mike Renault Eric. "Essays in financial econometrics GMM and conditional heteroscedasticity /." Chapel Hill, N.C. : University of North Carolina at Chapel Hill, 2008. http://dc.lib.unc.edu/u?/etd,1869.

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Thesis (Ph. D.)--University of North Carolina at Chapel Hill, 2008.<br>Title from electronic title page (viewed Dec. 11, 2008). "... in partial fulfillment of the requirements for the degree of Doctor of Philosophy in the Department of Economics." Discipline: Economics; Department/School: Economics.
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Піскунов, Р. О. "Діагностика фінансового стану банківської системи на основі нормативно-індексної моделі". Thesis, Українська академія банківської справи Національного банку України, 2010. http://essuir.sumdu.edu.ua/handle/123456789/61855.

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Pavlů, Eliška. "Analýza hospodaření malých obcí v souvislosti s využíváním dotací." Master's thesis, Vysoká škola ekonomická v Praze, 2013. http://www.nusl.cz/ntk/nusl-191555.

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The field of this Master thesis is economy of small municipalities and its analysis with regards to subsidies exploitation. The goal is the analysis of subsidies exploitation by small municipalities (size < 2000 inhabitants) within the Jihlava district, investigation of its successfulness and financial condition. National public expenditures policies, EU expenditures policies, municipalities budgeting system and financial analysis has been introduced in the theoretical background. As was mentioned earlier, the research sample includes 116 municipalities located in Jihlava district. Respondents
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Pai, Yu-Jou. "Risks in Financial Markets." University of Cincinnati / OhioLINK, 2020. http://rave.ohiolink.edu/etdc/view?acc_num=ucin1584003500272517.

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Hawkins, Penelope Anne. "Financial constraints and the small open economy." Thesis, University of Stirling, 2000. http://hdl.handle.net/1893/21628.

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The thesis develops a new model of the small open economy emphasizing financial constraints, based on the notion of liquidity preference as a constraining tendency on the income adjustment process. Preference for liquid assets results in a number of financial states of constraint, such as financial vulnerability, financial exclusion and financial fragility. These are explored in a regional and international context. Openness brings with it new opportunity as well as potential constraints. Models of small open economies have in general assumed away the latter and have neglected the consequences
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Horder, Jakob. "Essays on financial institutions, inflation and inequality." Thesis, London School of Economics and Political Science (University of London), 1997. http://etheses.lse.ac.uk/83/.

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The first essay takes a political economy perspective to explain differences in inflationary performance in the post communist economies. It is argued that these differences largely result from political choices rather than structural differences. Based on empirical evidence we describe some institutional mechanisms that can prevent reversal of stabilisation policies after a change of government. The second essay uses an overlapping generations model of money to analyse what the consequences are, for the distribution of real assets and inflation, of having more than one agent extracting seigni
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Wu, Sumei, and 吳蘇美. "Hong Kong intergenerational upward financial support." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2014. http://hdl.handle.net/10722/206687.

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Hong Kong is facing an ageing population and increased life expectancy. However, Hong Kong does not have a universal pension system and the income security of older people is therefore increasingly discussed. The main income sources of older people are earnings from employment and from savings and investments, as well as government welfare, and financial support from their families. However, income from employment, savings and investments are limited. Also, social policy in Hong Kong follows the residual model that it is the duty of a family to provide support to their family members, and gove
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Handlon, Lauree E. "The Relationship of the Financial Condition of a Healthcare Organization and the Error Rate of Potentially Missed Coding/Billing of Select Outpatient Services." The Ohio State University, 2008. http://rave.ohiolink.edu/etdc/view?acc_num=osu1204650548.

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