The role of business strategies in modern business environment Description of the formulation process of a strategyAnalysis of business environment of a firm (external environment)Internal analysis of an enterprise (internal environmental analysis)KIM LONG SECURITIES COMPANY’S BUSINESS DEVELOPMENT S[r]
When conditioning on the broad set of macrofinancial indicators of banking crises, our variableof interest (CMiMa) loses its significance in helping predict crises. This result can reflect the dichotomouspredictions from the theory but could also reflect [r]
Abstract The transmission of monetary policy is the center of economic studies, this field was renewed in light of the 2008 global financial crisis with arguments about the effectiveness and the determinants of transmission channels especially in emerging markets such as Vietnam which may have[r]
Crossborder capital flows have been intensified last decades with the greater financial integration. After the global financial crisis in 2008 2009, emerging markets economies (EMEs) have (re)started to be a significant target of global capital flows . “Emergingmarket” assets and currencies bec[r]
Household debt is regarded as one of the most serious risk factors that can threaten the stability of financial system. started to increase from early 2000’s after the foreign exchange crisis in 1997. showed explosive growth between 2000 and 2002 with average annual growth rate of 25%. stabili[r]
BOX 1.1 Differences in international trade integration: The case of Latin America and theCaribbean and East AsiaThe analysis of the evolution of the connectionswithin East Asia and LAC trade networks showsconsiderable differences between the two regio[r]
I. Introduction II. Assessment of Fiscal Position: Before and After the GFC III.Impact of Fiscal stimulus Package, Exit Strategy, and Identification of Future Fiscal and Macroeconomic Risk IV.Fiscal Transparency and Anticipating Policy for Future Crisis V.Concluding Remarks
CHAPTER 1 Financial Risk in a Crisis-Prone World CHAPTER 2 Market Risk Basics CHAPTER 3 Value-at-Risk CHAPTER 4 Nonlinear Risks and the Treatment of Bonds and Options CHAPTER 5 Portfolio VaR for Market Risk CHAPTER 6 Credit and Counterparty Risk CHAPTER 7 Spread Risk[r]
instruments, generates incentives for managers to beaverse to investments that are profitable at long horizons (such as longer-term bonds) but that can havepoor short-term performance. In contrast, insurance companies are not open-end asset managers,receive assets that cannot be withdrawn in the<[r]
For example: If a crash comes in Germany, we will have a financial situation something like that at the outbreak of war, and there will be a demand for a moratorium all round.It was clea[r]
June 24: the State Council released a draft proposal to relax the maximum loanto-deposit ratio, currently at 75 percent.June 27: the People’s Bank of China stepped in to stop a sell-off in Chinese stockmarketsJune 29: the Ministry of Human Resources and So[r]
Focus on research studies legal structure , vision , mission and objectives of BP . Besides the analysis of the financial situation , monetary policy and the plan is in place to develop BP . In addition, the study helps the reader see clearly the responsibility of BP to the environment and society .[r]
and industrial firms. The private savings depositedin the commercial banks were usually short termdeposits to meet daily needs.2. There was great incentive for industrial firmsto borrow since the inflation rate was alwaysconsiderably higher than the interest rate paid onloans; t[r]
Những ngân hàng Pháp là những nhà đầu tư nhỏ hơn rất nhiều vào cáctài sản mà sau này trở nên độc hại, và ít tham gia vào việc thiết lập nhữngcông cụ ngoài bảng cân đối Một bộ phận lớn các ngân hàng bán lẻ trong số các ngân hàng ở Pháp đãlàm giảm bớt tác động tổng thể của cuộc khủng hoảng tài chín[r]
How does access to finance impact consumption volatility? Theory and evidence from advanced economies suggests that greater household access to finance smooths consumption. Evidence from emerging markets, where consumption is usually more volatile than income, indicates that financial reform further[r]
This paper introduces a new database of indicators of financial development and structure across countries and over time. This database is unique in that it unites a wide variety of indicators that measure the size, activity and efficiency of financial intermediaries and markets. It improves on prev[r]
... shed some light on the nature of the association They have analysed the share of service in GDP in the course of economic development In their research they use the percentage of services in GDP... export of modern services, will have a positive influence on the GDP growth per capita as well The[r]
... the title Panel A of Table presents the frequency of each level of emphasis given to both GAAP and non- GAAP financial measures The most common location (for both GAAP and non- GAAP financial measures) ... examines how these two interventions by the SEC are associated with the frequency of firms[r]
The link between infrastructure and economic growth is widely acknowledged—as is the infrastructure gap, which can act as a break on growth in emerging markets and developing economies (EMDEs). Since the global economic and financial crisis, the challenges of raising financing for infrastructure pro[r]
Rapid growth in many lowincome economies was fuelled by the insertion of producers into global value chains feeding into highincome northern markets. This paper charts the evolution of financial and economic crisis in the global economy and argues that the likely outcome will be sustained growth in[r]