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Measurement Bases for Acquisitions and Mergers in Financial Accounting and in Commercial Law
Acquisition Acquisition method, Commercial law Financial Accounting Measurement base Merger Purchase method
2016/1/27
In association with transactions involving businesses, acquisitions and mergers, etc., commercial law stipulates the new measurement of business assets and thus also net business assets. Similarly, fi...
Trends and Developments in the European Financial Sector
Cross-border extension Deregulation European financial system Mergers and acquisitions Regulating barriers Structural change
2016/1/26
The international tendency towards the deregulation of restrictions and administrative settlements has suppressed the barriers between national financial markets. The adoption of a common currency and...
Institutional Arrangement of Financial Markets Supervision: The Case of the Czech Republic
Financial conglomerates Financial markets Financial supervision Integration of supervision
2016/1/26
The paper deals with institutional arrangement of financial supervision in the Czech Republic. Financial markets are composed of partial financial segments specialized in individual types of financial...
Tariff Retaliation versus Financial Compensation in the Enforcement of International Trade Agreements
Dispute Settlement WTO Tariffs Monetary Fines Bonds Concessions Reciprocity Policy Coordination
2015/9/22
We analyze whether financial compensation is preferable to the current system of dispute settlement in the World Trade Organization that permits member countries to impose retaliatory tariffs in respo...
Comments on ‘The Financial System and Economic Performance’ by Robert C. Merton
Financial System Economic Performance
2015/8/4
Comments on ‘The Financial System and Economic Performance’ by Robert C. Merton.
Comments on ‘Multi-country Modeling of Financial Markets’ by J. Helliwell, J. Cockerline, and Robert Lafrance
Multi-country Modeling Financial Markets
2015/8/4
Comments on ‘Multi-country Modeling of Financial Markets’ by J. Helliwell, J. Cockerline, and Robert Lafrance.
Implications of the Globalization of World Financial Markets: An Overview
Implications World Financial Markets
2015/8/4
Implications of the Globalization of World Financial Markets: An Overview.
Lessons of the Financial Crisis for the Design of the New International Financial Architecture
Financial Crisis International Financial Architecture
2015/8/3
Thank you for inviting me to give this keynote address. In my remarks at the
policy panel earlier today (“The 2002 Uruguayan Financial Crisis Five Years Later”) I
spoke about the details of the Urug...
I am grateful to Martin Feldstein for inviting me to speak at this session and for his
efforts to bring better economic analysis into our discussions of national security. I would like to
use the op...
Thank you for inviting me to Montevideo today. It is a pleasure to be here to
participate in this five-year anniversary of the resolution of the financial crisis of 2002,
and the remarkable recovery...
Managing Financial Policy:Evidence from the Financing of Major Investments
Managing Financial Policy Evidence Financing Major Investments
2015/5/13
How do managers set financial policy? This paper uses a sample of unconstrained firms making major investments to examine intended financial policy decisions. The analysis reveals that the financial p...
Innovation and the Financial Guillotine
Innovation Investing Abandonment Option Failure Tolerance Venture Capital Attitudes
2015/4/27
We examine how investors' tolerance for failure impacts the types of projects they are willing to fund. We show that actions that reduce short-term accountability and thus encourage agents to experime...
A Behavioral Model of Demandable Deposits and Its Implications for Financial Regulation
Banks and Banking Insurance Governing Rules Regulations and Reforms Policy
2015/4/23
A model is developed that rationalizes contracts that give depositors the right to obtain funds on demand even when depositors intend to use these funds for consumption in the future. This is explaine...
Prices or Knowledge?What Drives Demand for Financial Services in Emerging Markets?
Banks and Banking Saving Knowledge Acquisition Emerging Markets
2015/4/23
Financial development is critical for growth, but its micro-determinants are not well understood. We test leading theories of low demand for financial services in emerging markets, combining novel sur...
New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability
Financial Crisis Macroeconomics Central Banking Risk Management
2015/4/22
This paper proposes a new approach to improve the way central banks can analyze and manage the financial risks of a national economy. It is based on the modern theory and practice of contingent claims...