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Handbook of Research on Financial Management During Economic Downturn and Recovery (Hardcover)
Loot Price: R8,415
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Handbook of Research on Financial Management During Economic Downturn and Recovery (Hardcover)
Expected to ship within 10 - 15 working days
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Times of crisis are unexpected and they bring diverse challenges
and opportunities for companies, financial markets, and the
economy. On one hand, more risk and uncertainties appear, yet on
the other hand, it is an opportunity to reorganize and reinvent the
company. It is important for businesses to understand ways to deal
with uncertainty and risk in times of economic downturn and what
financial strategies and tools can be used to eliminate or reduce
the potential negative effects. These effects can reach the
company's financial performance, capital structure, as well as
cause financial debt and the availability of cash-flow to
companies. However, different financial instruments can sustain the
business and deal with the difficulties of payment when sales
reduce and uncertainty increases; thus, research is essential in
this critical area. When economic downturn affects the financial
markets, the role of banks, country dynamics, the economy, and many
other facets of the business world, financial management becomes
the key for business recovery. The Handbook of Research on
Financial Management During Economic Downturn and Recovery shares
relevant knowledge on challenges and opportunities caused by
crises, such as the pandemic, and the effects on economic and
financial arenas. The chapters cover topics such as business models
to understand how companies react to pandemic and crises
situations, as well as how they change their management and way of
conducting business. Other important topics include sustainable
development, international financial markets, capital structure
changes, uncertainty and risk, and governance and leadership. This
book is ideal for shareholders, directors and managers, economists,
researchers, academics, practitioners, stakeholders, researchers,
academicians, and students interested in knowledge on topics about
challenges in the way that companies, financial markets, financial
institutions, and governments respond to risk and uncertainty.
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