語系:
繁體中文
English
說明(常見問題)
回圖書館首頁
手機版館藏查詢
登入
回首頁
切換:
標籤
|
MARC模式
|
ISBD
Perspectives, trends, and applicatio...
~
Zopounidis, Constantin,
FindBook
Google Book
Amazon
博客來
Perspectives, trends, and applications in corporate finance and accounting
紀錄類型:
書目-電子資源 : Monograph/item
正題名/作者:
Perspectives, trends, and applications in corporate finance and accounting/ Constantin Zopounidis, Apostolos G. Christopoulos, and Petros Kalantonis, editors.
其他作者:
Zopounidis, Constantin,
出版者:
Hershey, Pennsylvania :IGI Global, : [2018],
面頁冊數:
1 online resource (xviii, 354 p.)
內容註:
Chapter 1. How the Greek crisis determined firm profitability and optimal debt ratio -- Chapter 2. Interactions between macroeconomic variables and stock market indices: evidence from Germany, Denmark, and Spain, including the period of crisis -- Chapter 3. The impact of capital controls on the use of electronic means of payments (emps) in Greece: empirical study -- Chapter 4. The information content of tax loss carryforwards before and during the global financial crisis: evidence from Greece -- Chapter 5. A comparative analysis on international portfolio flows to Asian stock markets with a nonlinear perspective -- Chapter 6. Banks, stock markets, and growth relationships in the Eu28 countries -- Chapter 7. The impact of economic sentiment, consumer, producer and investor's confidence indices on stock returns of the listed companies in FTSE-20 in Greece -- Chapter 8. The robustness of portfolio optimization models: an empirical comparative analysis -- Chapter 9. Brokering cloud computing: pricing models and simulation approaches -- Chapter 10. Earnings management and institutional ownership in Turkey -- Chapter 11. Measuring compliance with IFRS mandatory disclosure requirements: some evidence from Greece -- Chapter 12. Determinant factors of the quality management commentary reports.
標題:
Corporations - Finance. -
電子資源:
http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-6114-9
ISBN:
9781522561156 (e-book)
Perspectives, trends, and applications in corporate finance and accounting
Perspectives, trends, and applications in corporate finance and accounting
[electronic resource] /Constantin Zopounidis, Apostolos G. Christopoulos, and Petros Kalantonis, editors. - Hershey, Pennsylvania :IGI Global,[2018] - 1 online resource (xviii, 354 p.)
Includes bibliographical references and index.
Chapter 1. How the Greek crisis determined firm profitability and optimal debt ratio -- Chapter 2. Interactions between macroeconomic variables and stock market indices: evidence from Germany, Denmark, and Spain, including the period of crisis -- Chapter 3. The impact of capital controls on the use of electronic means of payments (emps) in Greece: empirical study -- Chapter 4. The information content of tax loss carryforwards before and during the global financial crisis: evidence from Greece -- Chapter 5. A comparative analysis on international portfolio flows to Asian stock markets with a nonlinear perspective -- Chapter 6. Banks, stock markets, and growth relationships in the Eu28 countries -- Chapter 7. The impact of economic sentiment, consumer, producer and investor's confidence indices on stock returns of the listed companies in FTSE-20 in Greece -- Chapter 8. The robustness of portfolio optimization models: an empirical comparative analysis -- Chapter 9. Brokering cloud computing: pricing models and simulation approaches -- Chapter 10. Earnings management and institutional ownership in Turkey -- Chapter 11. Measuring compliance with IFRS mandatory disclosure requirements: some evidence from Greece -- Chapter 12. Determinant factors of the quality management commentary reports.
Restricted to subscribers or individual electronic text purchasers.
"This book focuses on the consequences of the recent and prior financial crises. It also explores the relation between stock market and macroeconomics factors, earnings management, portfolio and pricing models as well as the reporting of accounting information and accounting standards"--Provided by publisher.
ISBN: 9781522561156 (e-book)Subjects--Topical Terms:
562429
Corporations
--Finance.
LC Class. No.: HG4026 / .P457 2018e
Dewey Class. No.: 332/.041
Perspectives, trends, and applications in corporate finance and accounting
LDR
:02660nmm 2200277 a 4500
001
2183853
003
IGIG
005
20191023155542.0
006
m o d
007
cr cn
008
191225s2018 pau fob 001 0 eng d
010
$z
2018000586
020
$a
9781522561156 (e-book)
020
$a
9781522561149 (hardback)
035
$a
(OCoLC)1039272783
035
$a
1081021097
040
$a
CaBNVSL
$b
eng
$c
CaBNVSL
$d
CaBNVSL
050
0 0
$a
HG4026
$b
.P457 2018e
082
0 0
$a
332/.041
$2
23
245
0 0
$a
Perspectives, trends, and applications in corporate finance and accounting
$h
[electronic resource] /
$c
Constantin Zopounidis, Apostolos G. Christopoulos, and Petros Kalantonis, editors.
260
$a
Hershey, Pennsylvania :
$b
IGI Global,
$c
[2018]
300
$a
1 online resource (xviii, 354 p.)
504
$a
Includes bibliographical references and index.
505
0
$a
Chapter 1. How the Greek crisis determined firm profitability and optimal debt ratio -- Chapter 2. Interactions between macroeconomic variables and stock market indices: evidence from Germany, Denmark, and Spain, including the period of crisis -- Chapter 3. The impact of capital controls on the use of electronic means of payments (emps) in Greece: empirical study -- Chapter 4. The information content of tax loss carryforwards before and during the global financial crisis: evidence from Greece -- Chapter 5. A comparative analysis on international portfolio flows to Asian stock markets with a nonlinear perspective -- Chapter 6. Banks, stock markets, and growth relationships in the Eu28 countries -- Chapter 7. The impact of economic sentiment, consumer, producer and investor's confidence indices on stock returns of the listed companies in FTSE-20 in Greece -- Chapter 8. The robustness of portfolio optimization models: an empirical comparative analysis -- Chapter 9. Brokering cloud computing: pricing models and simulation approaches -- Chapter 10. Earnings management and institutional ownership in Turkey -- Chapter 11. Measuring compliance with IFRS mandatory disclosure requirements: some evidence from Greece -- Chapter 12. Determinant factors of the quality management commentary reports.
506
$a
Restricted to subscribers or individual electronic text purchasers.
520
3
$a
"This book focuses on the consequences of the recent and prior financial crises. It also explores the relation between stock market and macroeconomics factors, earnings management, portfolio and pricing models as well as the reporting of accounting information and accounting standards"--Provided by publisher.
650
0
$a
Corporations
$x
Finance.
$3
562429
650
0
$a
Corporations
$x
Accounting.
$3
647519
650
0
$a
Stocks
$x
Prices.
$3
655153
650
0
$a
Derivative securities
$x
Accounting.
$3
709199
650
0
$a
Accounting
$x
Standards.
$3
648222
700
1
$a
Zopounidis, Constantin,
$e
editor.
$3
3395403
700
1
$a
Christopoulos, Apostolos G.,
$d
1965-
$e
editor.
$3
3395404
700
1
$a
Kalantonis, Petros,
$d
1970-
$e
editor.
$3
3395405
856
4 0
$u
http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-6114-9
筆 0 讀者評論
館藏地:
全部
電子資源
出版年:
卷號:
館藏
1 筆 • 頁數 1 •
1
條碼號
典藏地名稱
館藏流通類別
資料類型
索書號
使用類型
借閱狀態
預約狀態
備註欄
附件
W9371382
電子資源
11.線上閱覽_V
電子書
EB HG4026 .P457 2018e
一般使用(Normal)
在架
0
1 筆 • 頁數 1 •
1
多媒體
評論
新增評論
分享你的心得
Export
取書館
處理中
...
變更密碼
登入