Produktbild: Finance in Crises

Finance in Crises Financial Management Under Uncertainty

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Beschreibung

Produktdetails

Einband

Taschenbuch

Erscheinungsdatum

04.02.2025

Abbildungen

VIII, 68 illus., 52 illus. in color., farbige Illustrationen, schwarz-weiss Illustrationen

Herausgeber

Tobias Hüttche

Verlag

Springer

Seitenzahl

217

Maße (L/B/H)

23,5/15,5/1,3 cm

Gewicht

353 g

Sprache

Englisch

ISBN

978-3-031-48073-7

Beschreibung

Portrait

Tobias Huettche  is Professor of Accounting and Controlling and Lecturer of the Institute for Finance, School of Business, at the University of Applied Sciences and Arts Northwestern Switzerland. He is also member of several supervisory boards in the private sector.

Produktdetails

Einband

Taschenbuch

Erscheinungsdatum

04.02.2025

Abbildungen

VIII, 68 illus., 52 illus. in color., farbige Illustrationen, schwarz-weiss Illustrationen

Herausgeber

Tobias Hüttche

Verlag

Springer

Seitenzahl

217

Maße (L/B/H)

23,5/15,5/1,3 cm

Gewicht

353 g

Sprache

Englisch

ISBN

978-3-031-48073-7

Herstelleradresse

Springer-Verlag KG
Sachsenplatz 4-6
1201 Wien
AT

Email: GPSR Kontakt

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  • Produktbild: Finance in Crises
  • Chapter 1. Financial Management Under Uncertainty – An Introduction.- Part 1: Financial Management Under Uncertainty: Corporates.- Chapter 2. Consideration of Uncertainties in Business Valuations.- Chapter 3. Increased Uncertainty in Times of Crises and Implications for Financial Reporting, Focusing on the Going Concern Principle.- Chapter 4. Were the Crises of the Recent Past a Litmus Test for Goodwill in the Automotive Industry?.- Chapter 5. Predictive Analytics in Corporate Financial Management – A Case Study on Earnings Forecasting With a Global Logistics Service Provider.- Chapter 6. Internal Control System (ICS) in Times of Crises: Theoretical and Practical Approaches -the Proactive and Reactive Role of the ICS in Switzerland.- Chapter 7. Corporate Governance and Corporate Performance – Case Study Japan.- Chapter 8. Controlling of the Circular Economy.- Part 2: Financial Management Under Uncertainty: Markets.- Chapter 9. Price Discovery in Euro Area Sovereign Credit Markets: Evidence From the GIIPS Countries 10 Years After the Implementation of the Ban on Naked Short-selling of CDS.- Chapter 10. Evolution of Sovereign Risk of European G-SIBs.- Chapter 11. Electricity Trading With Derivative Instruments - Speculation, Hedging, or Speculative Hedging?.- Chapter 12. Gauss Versus Cauchy - a Comparative Study on Risk.- Chapter 13. Household Saving in Times of Crisis.