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Books > Money & Finance > Corporate finance

Guide to CFO Success - Leadership Strategies for Corporate Financial Professionals (Hardcover): S Dergel Guide to CFO Success - Leadership Strategies for Corporate Financial Professionals (Hardcover)
S Dergel
R1,399 R1,121 Discovery Miles 11 210 Save R278 (20%) Ships in 12 - 19 working days

Proven leadership strategies that will impact your career and your company

Having the right CFO is a critical component for every company's success. "Guide to CFO Success" provides CFOs and those in the making with a strategic blueprint to benefit their companies and their careers. This book reveals how to build a strong, successful career plan with guidance on team building and management of the multiple relationships that CFOs face on a daily basis, plus how to balance one's work and personal life.Offers strategic guidance for leadership growth for CFOsPresents essential information for every CFO who wants to play a tactical role in their organizationIncludes best practices for building and developing the most effective Finance TeamFeatures practical career advice for future Chief Financial Officers

From balancing one's work and personal life to dealing with the CEO, "Guide to CFO Success" has the answers you need to plan for a strong and successful career.

The Challenge of the Digital Economy - Markets, Taxation and Appropriate Economic Models (Paperback, Softcover reprint of the... The Challenge of the Digital Economy - Markets, Taxation and Appropriate Economic Models (Paperback, Softcover reprint of the original 1st ed. 2016)
Francesco Boccia, Robert Leonardi
R4,457 Discovery Miles 44 570 Ships in 10 - 15 working days

This volume presents contributions that analyse the extraordinary impact of digital technology on business, services, and the production of value in many sectors of the economy. At the heart of this book is the fact that the entire digital economy is now worth almost 6% of global GDP, and it continues to grow at an unprecedented rate. The volume covers the general debate on taxation and the digital economy with the chapters by Russo, Makiyama and Boccia, before completing the analysis with discussion of three national case studies covering the U.S. (Pagano), U.K. (Leonardi) and Italy (Boccia and Leonardi). Contributors are leading experts in the fields of taxation and the digital economy and contextualise the key issues surrounding the digitalisation of the economy from an international perspective.

Financial Management and Corporate Governance from the Feminist Ethics of Care Perspective (Paperback, Softcover reprint of the... Financial Management and Corporate Governance from the Feminist Ethics of Care Perspective (Paperback, Softcover reprint of the original 1st ed. 2017)
Desi Adhariani, Nick Sciulli, Robert Clift
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

This book investigates how businesses can adapt their executive and fiscal practices to adopt an ethical, equal-opportunity approach. The authors demonstrate how corporations can create sustainable work environments that embrace feminist care ethics and ground their research in a strong theoretical discussion of this relatively new framework. The discussion has a multidisciplinary outlook and explores how the concept of care ethics might be successfully applied to various professional contexts. Later chapters present findings from an empirical case study conducted in Australia and use both qualitative and quantitative methods to analyse the potential power of a feminist care of ethics approach within commercial and corporate management.

New Trends in Finance and Accounting - Proceedings of the 17th Annual Conference on Finance and Accounting (Paperback,... New Trends in Finance and Accounting - Proceedings of the 17th Annual Conference on Finance and Accounting (Paperback, Softcover reprint of the original 1st ed. 2017)
David Prochazka
R9,677 Discovery Miles 96 770 Ships in 10 - 15 working days

This book presents the most current trends in the field of finance and accounting from an international perspective. Featuring contributions presented at the 17th Annual Conference on Finance and Accounting at the University of Economics in Prague, this title provides a mix of research methods used to uncover the hidden consequences of accounting convergence in the private (IFRS) and public sectors (IPSAS). Topics covered include international taxation (from both the micro- and macroeconomic level), international investment, monetary economics, risk management, management accounting, auditing, investment capital, corporate finance and banking, among others. The global business environment shapes the international financial flows of finance and the demand for international harmonization of accounting. As such, the field of global finance and accounting has encountered some new challenges. For example, policy-makers and regulators are forced to restructure their tools to tackle with new features of trading at global capital markets and international investment. This book complements this global view of development with country-specific studies, focusing on emerging and transitioning economies, which are affected indirectly and in unforeseen ways. The combination of global perspective and local specifics makes this volume attractive and useful to academics, researchers, regulators and policy-makers in the field of finance and accounting.

Credit-Risk Modelling - Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python... Credit-Risk Modelling - Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python (Paperback, Softcover reprint of the original 1st ed. 2018)
David Jamieson Bolder
R2,014 Discovery Miles 20 140 Ships in 10 - 15 working days

The risk of counterparty default in banking, insurance, institutional, and pension-fund portfolios is an area of ongoing and increasing importance for finance practitioners. It is, unfortunately, a topic with a high degree of technical complexity. Addressing this challenge, this book provides a comprehensive and attainable mathematical and statistical discussion of a broad range of existing default-risk models. Model description and derivation, however, is only part of the story. Through use of exhaustive practical examples and extensive code illustrations in the Python programming language, this work also explicitly shows the reader how these models are implemented. Bringing these complex approaches to life by combining the technical details with actual real-life Python code reduces the burden of model complexity and enhances accessibility to this decidedly specialized field of study. The entire work is also liberally supplemented with model-diagnostic, calibration, and parameter-estimation techniques to assist the quantitative analyst in day-to-day implementation as well as in mitigating model risk. Written by an active and experienced practitioner, it is an invaluable learning resource and reference text for financial-risk practitioners and an excellent source for advanced undergraduate and graduate students seeking to acquire knowledge of the key elements of this discipline.

Investment Leadership - Building a Winning Culture for Long-Term Success (Hardcover): J Ware Investment Leadership - Building a Winning Culture for Long-Term Success (Hardcover)
J Ware
R1,410 R1,081 Discovery Miles 10 810 Save R329 (23%) Ships in 12 - 19 working days

A comprehensive guide to best practices within the investment industry
Investment Leadership provides readers with the tools to understand the leadership factors that contribute to sustainable growth; diagnose their firm's culture and understand why it is important; and replicate best practices from leading firms. With the help of diagnostic tools, practical advice from industry leaders, and real-life case studies, this book sets out to explain what is wrong with the status quo and reveal the secrets of long-term success in the investment industry.
James W. Ware, CFA, currently works as a consultant to money managers. He is the coauthor of The Leadership Genius of George W. Bush (0-471-42006-9). Beth Michaels has worked with many organizations, including Chevrolet Motors and the McDonald's Corporation. Dale Primer has worked with business executives from more than 700 individual businesses in over eighty-five separate industries.

Quantitative Analysis and IBM (R) SPSS (R) Statistics - A Guide for Business and Finance (Paperback, Softcover reprint of the... Quantitative Analysis and IBM (R) SPSS (R) Statistics - A Guide for Business and Finance (Paperback, Softcover reprint of the original 1st ed. 2016)
Abdulkader Aljandali
R1,521 Discovery Miles 15 210 Ships in 10 - 15 working days

This guide is for practicing statisticians and data scientists who use IBM SPSS for statistical analysis of big data in business and finance. This is the first of a two-part guide to SPSS for Windows, introducing data entry into SPSS, along with elementary statistical and graphical methods for summarizing and presenting data. Part I also covers the rudiments of hypothesis testing and business forecasting while Part II will present multivariate statistical methods, more advanced forecasting methods, and multivariate methods. IBM SPSS Statistics offers a powerful set of statistical and information analysis systems that run on a wide variety of personal computers. The software is built around routines that have been developed, tested, and widely used for more than 20 years. As such, IBM SPSS Statistics is extensively used in industry, commerce, banking, local and national governments, and education. Just a small subset of users of the package include the major clearing banks, the BBC, British Gas, British Airways, British Telecom, the Consumer Association, Eurotunnel, GSK, TfL, the NHS, Shell, Unilever, and W.H.S. Although the emphasis in this guide is on applications of IBM SPSS Statistics, there is a need for users to be aware of the statistical assumptions and rationales underpinning correct and meaningful application of the techniques available in the package; therefore, such assumptions are discussed, and methods of assessing their validity are described. Also presented is the logic underlying the computation of the more commonly used test statistics in the area of hypothesis testing. Mathematical background is kept to a minimum.

Bank Funding, Financial Instruments and Decision-Making in the Banking Industry (Paperback, Softcover reprint of the original... Bank Funding, Financial Instruments and Decision-Making in the Banking Industry (Paperback, Softcover reprint of the original 1st ed. 2016)
Santiago Carbo Valverde, Pedro Jesus Cuadros Solas, Francisco Rodriguez Fernandez
R3,561 Discovery Miles 35 610 Ships in 10 - 15 working days

This book provides insight into current research topics in finance and banking in the aftermath of the financial crisis. Expert authors authoritatively analyse how banks finance their activities and resolve funding issues. Chapters specifically discuss financial instruments such as corporate bonds, IPOs, sukuks and microfinance investment vehicles (MIVs) in light of the importance of institutional funding gaps. The decision-making process within the banking industry with regard to long-range financial decisions and dividend policies is also discussed.

Value Creation in International Business - Volume 2: An SME Perspective (Paperback, Softcover reprint of the original 1st ed.... Value Creation in International Business - Volume 2: An SME Perspective (Paperback, Softcover reprint of the original 1st ed. 2017)
Svetla Marinova, Jorma Larimo, Niina Nummela
R3,835 Discovery Miles 38 350 Ships in 10 - 15 working days

The edited collection brings into focus the meanings, interpretations and the process of value creation in international business. Exploring value creation in the context of emerging and developed economies, Volume 2 takes the perspective of small and medium sized enterprises and examines various approaches to value creation in the process of firm internationalization. Providing theoretical and practical insights, the authors open an intellectual debate into what value is, and how it is created through the internationalization activities of firms. Value Creation in International Business is a pioneering two volume work intended to provoke theoretical and empirical development in International Business research. Moreover, it is intended as a bridge between concepts derived from general business firm-level research agendas such as value creation and business model, and internationalization approaches and activities of firms.

New Perspectives on the Bank-Firm Relationship - Lending, Management and the Impact of Basel III (Paperback, Softcover reprint... New Perspectives on the Bank-Firm Relationship - Lending, Management and the Impact of Basel III (Paperback, Softcover reprint of the original 1st ed. 2016)
Paola Ferretti
R3,542 Discovery Miles 35 420 Ships in 10 - 15 working days

This book analyses the connections between the banking industry in Europe and the companies it finances. Ferretti specifically studies how these bonds have evolved over time and questions whether now is the time for a change in the relationship's dynamics. Chapters discuss the role of bank lending in firms' financing during the recent financial crisis, as well as issues in credit risk management. The discussion also examines regulatory requirements impacting banks and firms (Basel III) and how they intersect with banks' internal purposes. Moreover, the book explores how the financial crisis has impacted the relationship between banks and businesses, and seeks to identify the strengths and weaknesses inherent to it. Through this timely discussion, Ferretti looks to the future of the relationship between banks and non-financial organizations to see how they can be revitalised, adapted and reimagined in a post-crisis economy.

The Project Managers Guide to IDIQ Task Order Service Contracts - How to Win and Perform on Task Order Contracts (Paperback,... The Project Managers Guide to IDIQ Task Order Service Contracts - How to Win and Perform on Task Order Contracts (Paperback, Softcover reprint of the original 1st ed. 2017)
Mark E Salesky
R1,446 Discovery Miles 14 460 Ships in 10 - 15 working days

Every year the US federal government will spend roughly 100 billion dollars through competitive IDIQ (Indefinite Duration Indefinite Quantity) contracts. When you add in contracts awarded by State governments and commercial organizations using very similar processes you're looking at 700 billion dollars' worth of business. Getting a slice of that pie depends on how well you manage the contracting project. This is because IDIQs are essentially empty contract structures which then require a second round of winning task orders. For contracts with the government, this two-step structure which is specified in law and regulation, has specific pitfalls and opportunities which are rarely the subject of contract and project management training. Salesky's coaching style talks you through the specific challenges in the startup, management, and closing of the IDIQ. This book gives a pragmatic and best-practice description of the entire life cycle of this type of contract offering you the "inside advisor" you need to help you through the pragmatics issues of clients', performers', and bosses' expectations.

Development, Growth and Finance of Organizations from an Eastern European Context - The 2015 Griffiths School of Management... Development, Growth and Finance of Organizations from an Eastern European Context - The 2015 Griffiths School of Management Annual Conference on Business, Entrepreneurship and Ethics (GSMAC) (Paperback, Softcover reprint of the original 1st ed. 2017)
Sebastian Vaduva, Ioan S. Fotea, Andrew R Thomas
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

This book explores challenges and approaches to the development, financial management and growth of Eastern European organizations, both public and private. Including papers derived from the 2015 Griffiths School of Management Annual Conference on Business, Entrepreneurship and Ethics (GSMAC), organized by Emanuel University of Oradea, the authors provide a variety of strategies for growth and development in areas such as IT, medical management, marketing, entrepreneurship and family business. Collectively, these contributions provide a problem-solving framework that tackles such questions as: How are the growth and financial models of organizations changing? How should leadership in organizations adapt in order to ensure sustainable growth? How should educational concepts and methods be improved to help the next generation in the new global business environment? The rapid evolution of technology and innovation has changed the face of the business environment. With new actors in the global marketplace and new means of production, marketing and finance, businesses-particularly those in emerging regions, such as Eastern Europe-are faced with the pressure to rethink their structures and models from within. In this new economic climate, common issues such as corruption, risk, and customer satisfaction need to be examined from a globalized perspective. The goal of the 2015 GSMAC conference and the resulting papers is to help organizations and institutions in Eastern Europe and other developing regions formulate strategies and policies to thrive in this environment and promote sustainable management practices.

Who Stole Our Market Economy? - The Desperate Need For Socioeconomic Progress (Paperback, Softcover reprint of the original 1st... Who Stole Our Market Economy? - The Desperate Need For Socioeconomic Progress (Paperback, Softcover reprint of the original 1st ed. 2017)
A.Coskun Samli
R2,982 Discovery Miles 29 820 Ships in 10 - 15 working days

This book discusses the current landscape of our market economy, which is in the hands of financiers and billionaires who decrease competition as well as consumer power. In order for society to fully thrive and provide its members higher living standards and quality of life, it must distribute and deliver the fruits of the economic activity without discrimination and favoritism. This book exposes the real problem of economic inequality, poverty, and the elimination of the middle class and argues for a progressive market economy in the face of regressive conservatism. The author warns of business failures, rigid and unrealistic laws, widespread unemployment, and class warfare without a fair, functional system. Until action is taken to reverse this situation, our market economy will continue to be abused by the greedy and the powerful, stripping it of any potential for advancement and growth.

The Cosmos Economy - The Industrialization of Space (Paperback, 1st ed. 2021): Jack Gregg The Cosmos Economy - The Industrialization of Space (Paperback, 1st ed. 2021)
Jack Gregg
R824 R724 Discovery Miles 7 240 Save R100 (12%) Ships in 10 - 15 working days

If man's next big step is to live and work in space, then what will everyone do out there that is so different from what we are now doing here on Earth? As the future of space comes into focus it is clear that profit and power are the core elements of the new space economy. This entertaining and informative book looks at human settlement in space as a mainstream business opportunity for investors, entrepreneurs and far-sighted individuals seeking to secure their place in the innovative commercial space sector. Dr. Jack Gregg presents a unique 5-phase development roadmap that shows how space will grow from a frontier economy to a mature integrated market. Written in simple, non-technical language, this book answers such questions as: * What is the new industrial space economy? * What are the challenges and roadblocks on the way to a robust space economy? * How will the rapid growth of the new space economy impact commerce back on Earth? * How can one best invest in profitable space-related enterprises? The Cosmos Economy is for readers who hope to be better equipped and more informed about the new space economy; and Investors, entrepreneurs, and futurists who wants to learn how to take part in the business opportunities of the new high frontier of commercial space.

Portfolio Construction, Measurement, and Efficiency - Essays in Honor of Jack Treynor (Paperback, Softcover reprint of the... Portfolio Construction, Measurement, and Efficiency - Essays in Honor of Jack Treynor (Paperback, Softcover reprint of the original 1st ed. 2017)
John B. Guerard Jr
R4,405 Discovery Miles 44 050 Ships in 10 - 15 working days

This volume, inspired by and dedicated to the work of pioneering investment analyst, Jack Treynor, addresses the issues of portfolio risk and return and how investment portfolios are measured. In a career spanning over fifty years, the primary questions addressed by Jack Treynor were: Is there an observable risk-return trade-off? How can stock selection models be integrated with risk models to enhance client returns? Do managed portfolios earn positive, and statistically significant, excess returns and can mutual fund managers time the market? Since the publication of a pair of seminal Harvard Business Review articles in the mid-1960's, Jack Treynor has developed thinking that has greatly influenced security selection, portfolio construction and measurement, and market efficiency. Key publications addressed such topics as the Capital Asset Pricing Model and stock selection modeling and integration with risk models. Treynor also served as editor of the Financial Analysts Journal, through which he wrote many columns across a wide spectrum of topics. This volume showcases original essays by leading researchers and practitioners exploring the topics that have interested Treynor while applying the most current methodologies. Such topics include the origins of portfolio theory, market timing, and portfolio construction in equity markets. The result not only reinforces Treynor's lasting contributions to the field but suggests new areas for research and analysis.

Analytical Corporate Finance (Paperback, Softcover reprint of the original 1st ed. 2016): Angelo Corelli Analytical Corporate Finance (Paperback, Softcover reprint of the original 1st ed. 2016)
Angelo Corelli
R2,931 Discovery Miles 29 310 Ships in 10 - 15 working days

This book draws readers' attention to the financial aspects of daily life at a corporation by combining a robust mathematical setting and the explanation and derivation of the most popular models of the firm. Intended for third-year undergraduate students of business finance, quantitative finance, and financial mathematics, as well as first-year postgraduate students, it is based on the twin pillars of theory and analytics, which merge in a way that makes it easy for students to understand the exact meaning of the concepts and their representation and applicability in real-world contexts. Examples are given throughout the chapters in order to clarify the most intricate aspects; where needed, there are appendices at the end of chapters, offering additional mathematical insights into specific topics. Due to the recent growth in knowledge demand in the private sector, practitioners can also profit from the book as a bridge-builder between university and industry. Lastly, the book provides useful information for managers who want to deepen their understanding of risk management and come to recognize what may have been lacking in their own systems.

The Industrial Organization of Banking - Bank Behavior, Market Structure, and Regulation (Paperback, Softcover reprint of the... The Industrial Organization of Banking - Bank Behavior, Market Structure, and Regulation (Paperback, Softcover reprint of the original 2nd ed. 2017)
David VanHoose
R4,109 Discovery Miles 41 090 Ships in 10 - 15 working days

This book aims to provide a thoroughly updated overview and evaluation of the industrial organization of banking. It examines the interplay among bank behavior, market structure, and regulation from the perspective of a variety of public policy issues, including bank competition and risk, market discipline, antitrust issues, and capital regulation. New to this edition are discussions of the economic foundations of international banking, macroprudential regulation, and international coordination of banking policies. The book can serve as a learning tool and reference for graduate students, academics, bankers, and policymakers with interests in the industrial organization of the banking sector and the impacts of banking regulations.

Financial Innovation and Engineering in Islamic Finance (Paperback, Softcover reprint of the original 1st ed. 2017): Samir... Financial Innovation and Engineering in Islamic Finance (Paperback, Softcover reprint of the original 1st ed. 2017)
Samir Alamad
R3,611 Discovery Miles 36 110 Ships in 10 - 15 working days

This book provides two important contributions to existing theories in the financial innovation literature. First, it extends the existing literature of innovation orientation to a completely new field and construct that is based on a religious imperative as a framework within which financial innovation is constrained. It explains how an innovation orientation in IFIs can be directed within religious rules, which indicates that innovation orientation in IFIs is a learning philosophy. Second, the book introduces and examines the plasticity of Shariah as a shared boundary object and its dynamic role in managing tension and conflicting values in the financial innovation process. Furthermore, building on the empirical results, the study illustrates the insights that each theoretical lens affords into practices of collaboration and develops a novel analytical framework for understanding religious orientation towards financial innovation. This practical contribution, of the developed framework, could form the basis for a standardised framework for the Islamic finance industry. The book concludes by noting the policy and managerial implications of its findings and provides directions for further research.

Distress Risk and Corporate Failure Modelling - The State of the Art (Paperback): Stewart Jones Distress Risk and Corporate Failure Modelling - The State of the Art (Paperback)
Stewart Jones
R1,707 Discovery Miles 17 070 Ships in 12 - 19 working days

An easy to read by "state of the art" text containing a comprehensive review and analysis of existing corporate bankruptcy models, and their applications to real life data Covers a broad range of statistical learning models, ranging from relatively linear techniques (e.g. linear discriminant analysis) to state-of the art machine learning methods (e.g. random forests, deep learning). Explains the purpose, strength and limitations of respective models and frameworks, highlighting their major points of similarity and difference and would make this book a useful reference Much of the corporate bankruptcy literature has relied on quite simplistic classification models but this book introduces a wide range of innovative corporate bankruptcy prediction models

Entrepreneurship in Finance - Successfully Launching and Managing a Hedge Fund in Asia (Paperback, Softcover reprint of the... Entrepreneurship in Finance - Successfully Launching and Managing a Hedge Fund in Asia (Paperback, Softcover reprint of the original 1st ed. 2016)
Henri Arslanian
R1,678 Discovery Miles 16 780 Ships in 10 - 15 working days

Thinking of launching your own hedge fund? Want to learn more about the different steps involved in setting up and scaling a hedge fund? Want to understand what are the global best practices in order to grow your existing hedge fund and attract institutional investors? This book is the first hands-on publication to set out in concrete and practical terms the various steps and considerations necessary to successfully launch and manage a hedge fund in Asia, with a particular focus on Hong Kong and Singapore. Whilst most other hedge fund books cover the investment side of the hedge fund business, this book specifically provides in-depth insights into the crucial - and often misunderstood - non-investment aspects involved in launching a hedge fund business.It places particular focus on the legal, regulatory, fund structuring, tax, governance, capital raising, fund terms, budgeting, talent, office space, technology, operational and service provider selection considerations, from the pre-launch phase to the expansion and institutionalisation of the business. It is written for: any individual or team aiming to launch a hedge fund and seeking practical and experienced guidance; any existing hedge fund manager looking to grow and attract institutional-quality capital and investors; any fund manager or other industry participant globally intending to set up a presence in Asia any academic looking to learn more about the practical aspects of the hedge fund industry any student hoping to discover more about the hedge fund industry as a career choice.

Financing in Europe - Evolution, Coexistence and Complementarity of Lending Practices from the Middle Ages to Modern Times... Financing in Europe - Evolution, Coexistence and Complementarity of Lending Practices from the Middle Ages to Modern Times (Paperback, Softcover reprint of the original 1st ed. 2018)
Marcella Lorenzini, Cinzia Lorandini, D'Maris Coffman
R4,615 Discovery Miles 46 150 Ships in 10 - 15 working days

This book explores the evolution of credit and financing in Europe from the Middle Ages through to Modern Times. It engages with the distinct political, economic and institutional frameworks of the examined areas (England, Italy, France, Germany, Spain, the Netherlands and Turkey) and discusses how these affected the credit market. It covers a wide range of different types of lending and borrowing instruments, the destination of capital, the way it was raised, and the impact it had on local or national economies in a very long run. Presented in two parts, part one of the book focuses on credit markets in the preindustrial age, in particular the period before the advent of modern joint stock banks. Part two examines the evolution of credit at the time of the emergence of modern banks. This volume will be of interest to academics and researchers in the field of finance who are interested in the historic evolution of credit and the credit market.

G.A.T.C.A. - A Practical Guide to Global Anti-Tax Evasion Frameworks (Paperback, Softcover reprint of the original 1st ed.... G.A.T.C.A. - A Practical Guide to Global Anti-Tax Evasion Frameworks (Paperback, Softcover reprint of the original 1st ed. 2017)
Ross K. McGill, Christopher A Haye, Stuart Lipo
R3,226 Discovery Miles 32 260 Ships in 10 - 15 working days

This book is a practical guide to global anti-tax evasion frameworks. Coverage includes base erosion and profit shifting (BEPS), the Common Reporting Standard (CRS), and the Automatic Exchange of Information (AEoI). It covers the practical operational issues these frameworks present and offers insight into practical compliance options and operational methodologies to reduce costs and risks. The book concludes with insights into how institutions can translate these complex obligations into effective client communications.

Finance in Central and Southeastern Europe (Paperback, Softcover reprint of the original 1st ed. 2017): Srecko Goic, Anastasios... Finance in Central and Southeastern Europe (Paperback, Softcover reprint of the original 1st ed. 2017)
Srecko Goic, Anastasios Karasavvoglou, Persefoni Polychronidou
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

This book describes specific problems and proposes solutions for different areas of finance in Central and Southeastern European countries. Covering a broad spectrum of topics, from monetary economics and electronic money to capital markets, banking and insurance, it comprises theoretical and empirical contributions by authors from nine countries - Poland, Slovakia, Croatia, Bosnia and Herzegovina, Romania, Bulgaria, Montenegro, Serbia and Greece. Intended for academics as well as policy makers and practitioners it offers new perspectives on Central and Southeastern European finance research.

Cooperative and Networking Strategies in Small Business (Paperback, Softcover reprint of the original 1st ed. 2017): Marta... Cooperative and Networking Strategies in Small Business (Paperback, Softcover reprint of the original 1st ed. 2017)
Marta Peris-Ortiz, Joao J. Ferreira
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

The book aims to collect the most recent research and best practices in the cooperative and networking small business field identifying new theoretical models and describing the relationship between cooperation and networks in the small business strategy context. It examines different concepts and analytical techniques better understand the links between cooperative strategies and networks in small business. It also studies the existing economic conditions of network and strategic implications to small business from the point of view of their internal and external consistency. Cooperation and networks is a fashionable topic. It is receiving increasing attention in popular management publications, as well as specialized academic journals. Cooperation between firms and industries is a means of leveraging and aggregating knowledge also generating direct benefits in terms of innovation, productivity and competitiveness. Various options and decisions made within the framework of strategic alliances may be identified and differentiated. For example, it has been argued that R&D cooperation between competing firms also facilitates the search for incremental efficiency gains and is thus a competitive advantage. In parallel with a theoretical acceptance of the importance of a sustained competitive advantage to formulate strategy, there is a growing understanding that cooperative and networking behavior among small firms is at the root of many success stories in today's small business management. This condition requires an effort to develop a study of both aspects of cooperation and networks as compatible, complementary facets of a unique reality. In short, the cooperative and networking relationships of a small business can be the source of its competitive advantage. Enhancement of local resources and capabilities for the generation and dissemination of knowledge is still an issue for defining public policies in many countries.Featuring contributions covering such topics as green innovation, social commerce, university cooperation networks, and regional entrepreneurship, this book provides a comprehensive and richly illustrated study of cooperation and networks in small business that will be pertinent to students, academics, professionals, scholars, and policy makers.

Professional Authority After the Global Financial Crisis - Defending Mammon in Anglo-America (Paperback, Softcover reprint of... Professional Authority After the Global Financial Crisis - Defending Mammon in Anglo-America (Paperback, Softcover reprint of the original 1st ed. 2017)
Malcolm Campbell-Verduyn
R2,893 Discovery Miles 28 930 Ships in 10 - 15 working days

This book challenges amoral views of finance as the leading realm in which mammon - wealth and profit - is pursued with little overt regard for morality. The author details an enhanced ethical emphasis by leading Anglo-American professionals in the aftermath of the 2007-8 global financial crisis. Instead of merely stressing expert knowledge, professionals sought to overcome the alleged impossibility of serving "two masters" - mammon and God - by embracing religious finance, socio-economic inequality, sustainability and other overtly moral issues. Continuities in liberal values and ideas, however, limited the impact of this enhanced ethical emphasis to restoring the professional authority, as well as to more fundamentally reforming of Anglo-American finance following the most severe period of instability since the Great Depression. Providing a nuanced account of post-crisis change and continuity in a crucially important industry, Campbell-Verduyn advances a dynamic, process-based understanding of authority that will appeal to international political economists and sociologists alike.

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