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Accounting and Regulation - New Insights on Governance, Markets and Institutions (Paperback, Softcover reprint of the original... Accounting and Regulation - New Insights on Governance, Markets and Institutions (Paperback, Softcover reprint of the original 1st ed. 2014)
Roberto Di Pietra, Stuart McLeay, Joshua Ronen
R4,286 Discovery Miles 42 860 Ships in 10 - 15 working days

Since 1998, the world's leading experts on accounting and regulation have convened in a series of workshops to explore and analyze emerging issues in the field. They have covered a wide array of topics, including corporate governance, auditing, financial disclosure, international standards boards, and the dynamics of markets and institutions. Most recently, they have focused on the role that accounting practices and policies may have played in the global financial crisis of 2008. In this volume, the editors showcase contributions from the workshops that represent the full spectrum of issues and perspectives relating to accounting and regulation. Each paper incorporates the most current examples and references to reflect the latest insights, with an emphasis on exploring future implications for theory and research, practice, and policymaking.

Accounting and Regulation - New Insights on Governance, Markets and Institutions (Hardcover, 1st ed. 2014, Corr. 3rd printing... Accounting and Regulation - New Insights on Governance, Markets and Institutions (Hardcover, 1st ed. 2014, Corr. 3rd printing 2014)
Roberto Di Pietra, Stuart McLeay, Joshua Ronen
R4,538 Discovery Miles 45 380 Ships in 10 - 15 working days

Since 1998, the world s leading experts on accounting and regulation have convened in a series of workshops to explore and analyze emerging issues in the field. They have covered a wide array of topics, including corporate governance, auditing, financial disclosure, international standards boards, and the dynamics of markets and institutions. Most recently, they have focused on the role that accounting practices and policies may have played in the global financial crisis of 2008.In this volume, the editors showcase contributions from the workshops that represent the full spectrum of issues and perspectives relating to accounting and regulation. Each paper incorporates the most current examples and references to reflect the latest insights, with an emphasis on exploring future implications for theory and research, practice, and policymaking. "

Earnings Management - Emerging Insights in Theory, Practice, and Research (Hardcover, 2008 ed.): Joshua Ronen, Varda Yaari Earnings Management - Emerging Insights in Theory, Practice, and Research (Hardcover, 2008 ed.)
Joshua Ronen, Varda Yaari
R7,007 Discovery Miles 70 070 Ships in 10 - 15 working days

This book is a study of earnings management, aimed at scholars and professionals in accounting, finance, economics, and law. The authors address research questions including: Why are earnings so important that firms feel compelled to manipulate them? What set of circumstances will induce earnings management? How will the interaction among management, boards of directors, investors, employees, suppliers, customers and regulators affect earnings management? How to design empirical research addressing earnings management? What are the limitations and strengths of current empirical models?

Earnings Management - Emerging Insights in Theory, Practice, and Research (Paperback, Softcover reprint of hardcover 1st ed.... Earnings Management - Emerging Insights in Theory, Practice, and Research (Paperback, Softcover reprint of hardcover 1st ed. 2008)
Joshua Ronen, Varda Yaari
R4,178 R2,955 Discovery Miles 29 550 Save R1,223 (29%) Ships in 9 - 15 working days

This book is a study of earnings management, aimed at scholars and professionals in accounting, finance, economics, and law. The authors address research questions including: Why are earnings so important that firms feel compelled to manipulate them? What set of circumstances will induce earnings management? How will the interaction among management, boards of directors, investors, employees, suppliers, customers and regulators affect earnings management? How to design empirical research addressing earnings management? What are the limitations and strengths of current empirical models?

Financial Reports Quality and Transparency - Financial Statements Insurance and Fair values (Paperback): Joshua Ronen Financial Reports Quality and Transparency - Financial Statements Insurance and Fair values (Paperback)
Joshua Ronen
R1,509 Discovery Miles 15 090 Ships in 10 - 15 working days
Off-Balance Sheet Activities (Hardcover, New): Joshua Ronen, Anthony Saunders, Ashwinpaul C. Sondhi Off-Balance Sheet Activities (Hardcover, New)
Joshua Ronen, Anthony Saunders, Ashwinpaul C. Sondhi
R2,895 Discovery Miles 28 950 Ships in 10 - 15 working days

The objective of "Off-Balance Sheet ActivitieS" is to gain insights into, and propose meaningful solutions to, those issues raised by the current proliferation of off-balance sheet transactions. The book has its origins in a New York University conference that focused on this topic. Jointly undertaken by the Vincent C. Ross Institute of Accounting Research and New York University's Salomon Center for the study of Financial Institutions at the Stern School of Business, the conference brought together academic researchers and practitioners in the field of accounting and finance to address the issues with the broad-mindedness requisite of a group whose approaches to solutions are as different from each other as their respectively theoretical and applied approaches to the disciplines of finance and accounting.

The essays are divided into two sections. The first covers issues surrounding OBS activities and banking and begins with a brief introduction that places the essays into context. OBS activities and the underinvestment problem, whether loan sales are really OBS, and money demand and OBS liquidity are examined in detail. Section two, which also begins with a brief introduction, focuses on issues of securitized assets and financing. A report on recognition and measurement issues in accounting for securitized assets is followed by three separate discussion essays. Other subjects covered include contract theoretic analysis of OBS financing, the use of OBS financing to circumvent financial covenant restrictions, and debt contracting and financial contracting. The latter two contributions are also followed by discussion essays. This unique collection of papers will prove to be an interesting and valuable tool for accounting and finance professionals as well as for academics involved in these fields. It will also be an important addition to public, college, and university libraries.

Accounting and Financial Globalization (Hardcover, New): Joshua Ronen, Joshua Livnat Accounting and Financial Globalization (Hardcover, New)
Joshua Ronen, Joshua Livnat
R2,310 Discovery Miles 23 100 Ships in 10 - 15 working days

As investment capital has shown increasing disregard for national boundaries, the flow of information on financial markets has become both more complex and more problematic. At the same time, the speed with which markets now respond to events and financial conditions in all parts of the world makes accurate, up-to-the-moment information a crucial element in the investment and accounting picture. This book explores some of the most important effects of information on world financial markets.

Written by an international group of specialists, it takes the form of a dialogue. Each of the five chapters dealing with specific topics is followed by the comments of another writer who offers a slightly different perspective. The first chapter examines the effect of enhanced public disclosure on the welfare of participants in the marketplace. The second chapter provides a framework for analyzing the effects of the globalization of information, particularly the ways in which it influences rates of real interest among countries. Subjects addressed in the chapters that follow include compensating for imperfect information in foreign currency investment and the impact of financial forecasts on stock prices. An authoritative treatment that clarifies some of the most complex issues surrounding the globalization of capital investment, this book will be of particular value to international financial analysts and investment advisers.

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