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Qfinance: the ultimate resource

Publisher: Bloomsbury Press 2009.Language: EnglishDescription: 2160 p. : Graphs/Ill./Photos ; 29 cm.ISBN: 9781849300001Type of document: BookBibliography/Index: Includes bibliographical references and index and glossaryContents Note: Includes chapter by S. David Young "Creating value with EVA", p. 756-758
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Includes bibliographical references and index and glossary

Includes chapter by S. David Young "Creating value with EVA", p. 756-758


QFinance The Ultimate Resource Contents Foreword xvi Advisory Panel xvii Staff, Contributors, and Advisers xix Contributors xx User Guide xlv BEST PRACTICE Corporate Balance Sheets and Cash Flow Advantages of Finance Best 8 Practice Networks Hans-Dieter Scheuermann Allocating Corporate Capital Fairly 11 John L. Mariotti Asset Liability Management for 13 Pension Funds R. H. M. A. Kleynen Best-Practice Working Capital 16 Management: Techniques for Optimizing Inventories, Receivables, and Payables Patrick Buchmann and Udo Jung Business Implications of the Single 20 Euro Payments Area (SEPA) Juergen Bemd Weiss Capital Budgeting: The Dominance 23 of Net Present Value Harold Bierman, Jr Capital Structure: Implications 27 John C. Groth Capital Structure: Perspectives 31 John C. Groth Viewpoint: Howard Davies 35 Cash Flow Best Practice for Small 37 and Medium-Sized Enterprises Rita Herron Brown Comparing Net Present Value and 40 Internai Rate of Return Harold Bierman, Jr Corporate Finance for SMEs 43 Terry Carroll Dangers of Corporate Derivative 46 Transactions David C. Shimko Factoring and Invoice 49 Discounting: Working Capital Management Options Irena Jindrichovska A Holistic Approach to Business 52 Risk Management Terry Carroll How Taxation Impacts on 55 Liquidity Management Martin O'Donovan How to Better Manage Your 57 Financial Supply Chain Juergen Bemd Weiss Viewpoint: Lawrence Phillips 6o How to Manage Pension Costs 63 Edmund Truell How to Successfully Assess a 66 Company's Global Treasury Needs and Objectives Gary Silha Integrated Corporate financial 69 Risk Policy David C. Shimko Managing Capital Budgets for 72 Small and Medium-Sized Companies Neil Seitz Managing Counterparty Credit 75 Risk David C. Shimko Managing Interest Rate Risk 78 Will Spinney Managing Liquidity in China-- 81 Challenging Times Marlene R. Wittman Navigating a Liquidity Crisis 86 Effectively Klaus Kremers Viewpoint: Zarin Patel 89 Payment Factories: How to 91 Streamline Financial Flows Chris Skinner Pension Schemes: A Unique and 93 Unintended Basket of Ries on the Balance Sheet Amarendra Swarup Quantifying Corporate Financial 97 Risk David C. Shimko To Hedge or Not to Hedge 100 Steve Robinson A Total Balance Sheet Approach to 103 Financial Risk Terry Carroll Using Structured Products to 106 Manage Liabilities Shane Edwards The Value and Management of 109 Intellectual Property, Intangible Assets, and Goodwill Kelvin King Valuing Pension Fund Liabilities 113 on the Balance Sheet Steven Lowe Governance and Business Ethics Balancing Senior Management Compensation Arrangements with Shareholders' Interests Henrik Cronqvist Viewpoint: Wim Bartels Best Practice in Investment Governance for Pension Funds Roger Urwin Best Practices in Corporate Social Responsibility Alison Kemper and Roger Martin Viewpoint: Stewart Hamilton Boardroom Roles Sir Adrian Cadbury Viewpoint: Tim Hindle Business Ethics Sue Newell Corporate Board Structures Vidhan Goyal Viewpoint: Jonathan M. Karpoff Corporate Responsibility in a Global World: Marrying Investment in Human Capital with Focus on Costs Angela Baron CSR: More than PR, Pursuing 147 Competitive Advantage in the Long Run John Surdyk Viewpoint: Jay W. Lorsch 130 Dividend Policy: Maxunizing 152 Shareholder Value Harold Bierman, Jr Executive Rewards: Ensuring That 156 Financial Rewards Match Performance Shaun Tyson Viewpoint: Bruce Misamore 159 Financial Reporting: Conveying 162 the Message Down the line Leslie L Kossoff Identifying the Right Non-executive 165 Director Terry Carroll Viewpoint: Roger Steare 168 Improving Corporate Profitability 170 Through Accountability Marc J. Epstein and Reinvesting in the Company 172 versus Rewarding Investors with Distributions Ruth Bender Insurance and Financial Markets Including Macroeconomics Viewpoint: Amjid Ali Banks and Small and Medium-Sized Enterprises: Recent Business Developments Sergio Schmukler, Augusto de la Torre, and Maria Soledad Martinez Perla Viewpoint: Jacques Attali Viewpoint: Jagdish Bhagwati Climate Change and Insurance Stephen Haddrill Viewpoint: Roger Bootle The Crash and the Banldng Sector--Laying the Foundations Angela Knight Viewpoint: Todd Buchholz Viewpoint: Bill Hambrecht Credit Derivatives--The Origins of the Problem Eric Dinallo Viewpoint: Fred Hu ERM, Best's Ratings, and the Financial Crisis Gene C. Lai Viewpoint: Justin Yifu Lin Viewpoint: Augusto Lopez-Claros The Globalisation of Inflation Diana Choyleva Viewpoint: Maureen J. Miskovic How the Settlement Infrastructure Is Surviving the Financial Meltdown Yves Poullet Viewpoint: Jon Moulton Viewpoint: Michael J. Panzner Insurance--Bruised, Not Crushed Robert P. Hartwig 174 176 179 181 183 185 187 189 191 193 195 198 200 203 206 209 211 214 216 219 116 120 123 127 130 132 134 137 141 144 Viewpoint: Brian Reading 221 The Insurance Sector: Plenty of 225 Silver Lining to Be Found Andrew Milligan Viewpoint: Ricardo Rebonato 228 Viewpoint: Jim Rogers 232 Islamic Capital Markets: The Role 235 of Sukuk Rodney Wilson Viewpoint: Leigh Skene 238 Islamic Insurance Markets and the 242 Structure of Takaful Suzanne White Viewpoint: Bernhard Speyer and 244 Norbert Walter Viewpoint: Achim Steiner and 246 Pavan Sukdhev Longevity, Reserves, and 249 Annuities--A Difficult Circle to Square Paul Belok Viewpoint: Jean-Claude Trichet 252 Middle East and North Africa 254 Region: Financial Sector and Integration Samy Ben Naceur and Chiraz Labidi Viewpoint: Richard A. Werner 258 The Payment Services Directive: A 262 Crucial Step Toward Payment Harmonization Across the EU Bjorn Flismark Viewpoint: Paul Wihnott 265 The Perfect Storm--Why Did No 268 One See It Coming? The Missing Piece in Risk Management Nigel Walder Viewpoint: Linda Yueh 270 Why Printing Money Sometimes 272 Works for Central Banks Paul Kasriel Viewpoint: Muhammad Yunus 274 Making and Managing Investments The Ability of Ratings to Predict 277 the Performance of Exchange-Traded Funds Gerasimos G. Rompons Asset Allocation Methodologies 281 Tom Coyne Booms, Busts, and How to 286 Navigate Troubled Waters Joachim Klement Carrying Out Due Diligence on 289 Hedge Funds Amarendra Swarup Carrying Out Due Diligence on 292 Private Equity Funds Rainer Ender Viewpoint: Anthony Bolton 295 The Case for SMART Rebalancing 297 Arun Muralidhar and Sanjay Muralidhar The Changing Role and Regulation 301 of Equity Research Simon Taylor Corporate Covenant and Other 303 Embedded Options in Pension Funds Theo Kocken Ethical Funds and Socially 306 Responsible Investment: An Overview Chendi Zhang ForecastingDefault Rates and the 309 Credit Cycle Martin Fridson Viewpoint: Javier Estrada 312 Funds of Hedge Funds versus 314 Single-Manager Funds Steve Wallace Hedge Fund Challenges Extend 316 Beyond Regulation Kevin Burrows How Stockholders Can Effectively 319 Engage With Companies James Gifford How to Set the Hurdle Rate for 322 Capital Investments Jon Tucker The Impact of Index Trackers on 325 Shareholders and Stock Volatility Martin Gold Viewpoint: Mark Mobius 328 Interdependence of National and 330 International Markets: The Foreign Information Transmission (FIT) Model Boulis M. Ibrahim and Janusz Brzeszczynski Investing Cash: Back to Basics 334 Mark Camp and Emma Du Haney Investing in Structured Finance 337 Products in the Debt Money Markets Moorad Choudhry Measuring Company Exposure to 342 Country Risk Aswath Damodaran Measuring Country Risk 345 Aswath Damodaran Viewpoint: James Montier 348 Minimizing Credit Risk 350 Frank J. Fabozzi Mixflation Giles Keating 353 Money Managers David Pitt-Watson 357 The Performance of Socially 360 Responsible Mutual Funds Lue Renneboog Price Discovery in IPOs 364 Jos van Bommel Private Equity Fund Monitoring 367 and Risk Management Rainer Ender Viewpoint: Peter Zollinger and 370 John Schaetzl The Role of Commodities in an 372 Institutional Portfolio Keith H. Black and Satya Kumar The Role of Short Sellera in the 376 Marketplace Raj Gupta Understanding the Role of 380 Diversification Guofu Zhou Valuation and Project Selection 382 When the Market and Face Value of Dividends Differ Graham Partington When Form Follows Function: 386 How Core--Satellite Investing has Sparked an Era of Convergence Christopher Holt Mergers and Acquisitions Acquisition Integration: How to 390 Do It Successfully David R. Sadtler Coping with Equity Market 392 Reactions to MandA Transactions Scott Moeller Cultural Alignment and Risk 395 Management: Developing the Right Culture R. Brayton Bowen Due Diligence Requirements in 398 Financial Transactions Scott Moeller Identifying and Minimizing the 402 Strategic Risks from MandA Peter Howson Leveraged Buyouts and Recession 405 Louise Scholes and Mike Wright Leveraged Buyouts: What, Why, 409 When, and How Scott S. Johnson Maximizing Value when Selling a 412 Business John Gilligan Merger Integration and Transition 415 Management: A New Slant for Finance Executives Price Pritchett Mergers and Acquisitions: 418 Patterns, Motives, and Strategic Fit Siri Terjesen Mergers and Acquisitions: Today's 422 Catalyst is Working Capital James S. Sagner Valuing Start-Ups 425 Aswath Damodaran Why Mergers Fail and How to 428 Prevent It Susan Cartwright Operations Management Building Potential Catastrophe 430 Management into a Strategic Risk Framework Duncan Martin Business Continuity Management: 433 How to Prepare for the Worst Andrew Hiles Countering Supply Chain Risk 437 Vinod Lali Dealing with Cybersquatters 440 Shireen Smith Dispute Resolution: The Forum 442 Selection Clause Elisabeth de Nadal and Victor Manuel Sânchez Electronic Invoicing in the 445 European Union Hansjdrg Nymphius Employee Stock Options 448 Peter Casson Essentials for Export Success: 450 Understanding How Risks and Relationships Lead to Rewards Paul Beretz Exporting Against Letters of Credit 453 Buddy Baker Viewpoint: Thierry Malleret 457 Financial Techniques for Building 459 Customer Loyalty Ray Halagera Fraud: Minimising the Impact on 462 Corporate Image Tim Johnson Geopolitical Risk: Countering the 465 Impact on Your Business Ian Bremmer How to Manage Emerging Market 468 Risks with Third Party Insurance Rod Morris Human Risk: How Effective 471 Strategic Risk Management Can Identify Rogues Tom McKaig The Human Value of the 474 Enterprise Andrew Mayo Intellectual Capital 477 Thomas A. Stewart International Arbitration: Basic 479 Principles and Characteristics Stavros Brekoulakis Managing Intellectual Capital 482 Leif Edvinsson Managing Operational Risks Using 484 an All-Hazards Approach Mark D. Abkowitz Viewpoint: Aldo Mareuse 487 Managing Retirement Costs 489 Beverly Goldberg Mulfiparty and Multicontract 492 Arbitration Stavros Brekoulakis Protecting Your Intellectual 495 Property--Nonregistered Rights Jeremy Phillips Protecting Your Intellectual 497 Property--Registered Rights Jeremy Phillips Reducing Costs and Improving 499 Efficiency by Outsourcing and Selecting Suppliera Paul Davies Reducing Costs through Change 502 Management Beverly Goldberg Reducing Costs through 505 Production and Supply Chain Management Vinod Lall Return on Talent Subir Chowdhury 508 Risk Management: Beyond 510 Compliance Bill Sharon Understanding Reputation Risk 514 and Its Importance Jenny Rayner Raising Finance Acquiring a Secondary Listing, or 517 Cross-Listing Meziane Lasfer Assessing Venture Capital Funding 520 for Small and Medium-Sized Enterprises Main Fayolle and Joseph LiPuma Attracting Smali Investors 523 Wondimu Mekonnen Capital Structure: A Strategy that 526 Makes Sense John C. Groth The Cost of Going Public: Why 531 IPOs Are Typically Underpriced Lena Booth Credit Ratings David Wyss 534 Equity Issues by Listed 537 Companies: Rights Issues and Other Methods Seth Armitage Financial Steps in an IPO for a 540 Small or Medium-Size Enterprise Hung-Gay Fung How and When to Use 543 Nonrecourse Financing Thomas McKaig IPOs in Emerging Markets 545 Janusz Brzeszczynski Islamic Modes of Finance and the 548 Role of Sukuk Abdel-Rahman Yousri Issuing Corporate Debt Steven Lowe 551 Managing Activist Investors and 554 Fund Managers Leslie L. Kossoff Optimizing the Capital Structure: 557 Finding the Right Balance Between Debt and Equity Meziane Lasfer Private Investments in Public 560 Equity William K. Sjostrom, Jr Public--Private Partnerships in 562 Emerging Markets Peter Koveos and Pierre Yourougou Raising Capital in Global Financial 566 Markets Reena Aggarwal Raising Capital in the United 569 Kingdom Lauren Mills The Role of Institutional Investors 572 in Corporate Financing Hao Jiang Securitization: Understanding the 576 Risks and Rewards Tarun Sabarwal Sources of Venture Capital 579 Lawrence M. Brotzge Understanding and Accessing 582 Private Equity for Small and Medium Enterprises Arne-G. Hostrup Understanding Equity Capital in 585 Small and Medium-Sized Enterprises Siri Terjesen Understanding the True Cost of 589 Issuing Convertible Debt and Other Equity-Linked Financing Roger Lister Using Securitization as a 592 Corporate Funding Tool Frank J. Fabozzi What the Rise of Global Banks 596 Means for Your Company Chris Skinner Regulation and Compliance Accounting for Business Combinations in Accordance with International Financial Reporting Standards (IFRS) Requirements Shân Kennedy Accounting for Share-Based Payments under IFRS Shân Kennedy Aligning the Internai Audit Function with Strategic Objectives Ilias G. Basioudis 598 601 604 The Assurance versus Consulting 608 Debate: How Far Should Internai Audit Go? Michael Parkinson Best Practices in Risk-Based 611 Internai Auditing Sheryl Vacca Classification and Treatment of 614 Leases Roger Lister Costs and Benefits of 617 Accounting-Based Regulation in Emerging Capital Markets Wang Jiwei The Effets of SOX on Internai 620 Control, Risk Management, and Corporate Governance Best Practice David A. Doney Effective Financial Reporting and 623 Auditing: Importance and Limitations Andrew Higson Engaging Senior Management in 626 Internai Control Philip Ratcliffe Enterprise Risk Management and 628 Solvency II Andrew Davies Viewpoint: Viral Acharya and 632 Julian Franks Fair Value Accounting: SFAS 137 635 and IAS 39 Kevin Ow Yong Has Financial Reporting Impacted 638 on Internai Auditing Negatively? Andrew Chambers How Can Internai Audit Report 642 Effectively to Its Stakeholders? Andrew Cox How Internal Auditing Can Help 646 With a Company's Fraud Issues N. Gail Harden How Much Independence for 651 Supervisors in Financial Market Regulation? Marc Quintyn How to Effectively Implement a 655 Standard Chart of Accounts Aziz Tayyebi Identifying the Main Regulatory 658 Challenges for Islamic Finance Bilai Rasul Implementing an Effective 661 Internai Controls System Andrew Chambers Incorporating Operational and 665 Performance Auditing into Compliance and Financial Auditing Andrew Cox Internai Audit and Partnering with 668 Senior Management Bruce Turner Internal Audit Planning: How Can 672 We Do It Better? Michael Parkinson Viewpoint: Ernst Ligteringen 675 The Internai Audit Role--Is There 677 an Expectation Gap in Your Organization? Jeffrey Ridley Internai Auditors and Enterprise 680 Risk Management Ian Fraser The LIFO Conundrum: 683 Convergence of US GAAP with IFRS and Its Implications on US Company Competitiveness William W. White Managing the Relationships 685 between Audit Committees and the CAE Richard E. Cascarino The Missing Metrics: Managing the 688 Cost of Complexity John L. Mariotti New Assurance Challenges Facing 691 Chief Audit Executives Simon D'Arcy Optimizing Internai Audit 694 Andrew Chambers Performance Reporting under 697 IFRS Peter Casson Principles versus Rules in 700 Financial Supervision--Is There One Superior Approach? Marc Quintyn Procedures for Reporting 704 Financial Risk in Islamic Finance Daud Vicary Abdullah and Ramesh Pillai Viewpoint: Sir John Stuttard 707 The Rationale of International 709 Financial Reporting Standards and their Acceptance by Major Countries Véronique Weets Revising Basel II--But at What 712 Cost? Vishal Vedi Solvency II--A New Regulatory 714 Framework for the Insurance Sector Paul Barrett Starting a Successful Internal 716 Audit Function to Meet Present and Future Demands Jeffrey Ridley Tripping over Prudence--Ideas for 720 a Sensible Fix for Basel II Samuel Sender and Noel Amenc Understanding the Requirements 723 for Preparing IFRS Financial Statements Véronique Weets US Financial Regulation: A 726 Hopeless Tangle, or Complexity for a Purpose? Lawrence J. White What Are the Leading Causes of 729 Financial Restatements? F. Todd DeZoort What Is the Range of the Internai 732 Auditor's Work? Andrew Cox Why Organizations Need to be 736 Regulated--Lessons from History Bridget M. Hutter Strategy and Performance Aligning Structure with Strategy: Recalibrating for Improved Performance and Increased Profitability R. Brayton Bowen 739 Assessing Opportunities for 742 Growth in Developing Countries of Micro, Small, and Medium-Size Enterprises Montagne J. Lord Assessing Opportunities for 746 Growth in Small and Medium Enterprises Frank Hoy Avoiding the Mistakes of the Past: 749 Lessons from the Startup World James E. Schrager Viewpoint: Rajiv Dogra 751 Corporate-Level Strategy 754 David R. Sadtler Creating Value with EVA 756 S. David Young Enhance Competitive Performance 759 via Critical Key Performance Indicators (KPIs) Zahirul Hoque Viewpoint: Frank Feather 763 Everything You Need to Know 765 About Benchmarking Robin Mann Globalization and Regional 769 Business Strategy Alan M. Rugman Growing and Maximizing SME 772 Profitability Without Compromising ROI Neil Marriott The Impact of Climate Change on 775 Business Graham Dawson Viewpoint: Graeme Leach 778 The Impact of Demographics on 780 Business and the World Economy Gabriel Stein Increasing the Profitability of 784 Small and Medium Enterprises--A Practical Guide Tom Brown Innovation and the Path to 786 Growth, Profitability, and Competitiveness John Milton-Smith Viewpoint: Hamish McRae 789 Maximizing a New Strategic 791 Alliance Peter Killing Multidimensional Performance 793 Measurement Using the Balanced Scorecard Priscilla Wisner Multinationality and Financial 796 Performance Alan M. Rugman Viewpoint: Mike Moore 799 Profitability Analysis Using 801 Activity-Based Costing Priscilla Wisner Project Planning Techniques for 805 Small and Medium Enterprises Damian Merciar Real Options: Opportunity from 808 Risk David C. Shimko Risk-- Perspectives and Common 811 Sense Rules for Survival John C. Groth Viewpoint: Ravi Nedungadi 815 Statistical Process Control for 817 Quality Improvement Priscilla Wisner Toward a Total Global Strategy 822 George Yip Turning Around Financial 825 Performance David Magee Using Decision Analysis to Value 828 RandD Projects Bert De Reyck Viewpoint: Nenad Pacek 832 Value Creation--Perspectives and 834 Implications John C. Groth What Entrepreneurs and Small 839 Business Owners Can Do to Increase Their Chances of Success in the Global Economy Neuman Pollack Why EVA is the Best Measurement 843 Tool for Creating Shareholder Value Erik Stem Winning Commercial Tenders 845 Damian Merciar CHECKLISTS Corporate Balance Sheets and Cash Flow Assessing Cash Flow and Bank 854 Lending Requirements Building a Forex Plan 855 Creating a Standardized Process 856 Dealing with Financial 857 Intermediaries Defining the Financial Manager's 858 Role Developing a Contingency Funding 859 Plan Estimating Enterprise Value with 86o the Weighted Average Cost of Capital The Foreign Exchange Market: Its 861 Structure and Function Hedging Credit Risk--Case 862 Studies and Strategies Hedging Foreign Exchange Risk-- 863 Case Studies and Strategies Hedging Interest Rate Risk--Case 864 Study and Strategies Hedging Liquidity Risk--Case 865 Study and Strategies How to Manage Your Credit Rating 866 Identifying and Managing 867 Exposure to Interest and Exchange Rate Risks Identifying Weak Points in Your 868 Liquidity Insuring Against Financial Loss 869 Key Components of an Optimal 870 Enterprise Resource Planning System Managing die Time Value of 871 Money Managing Working Capital 872 Managing Your Credit Risk 873 Measuring Financial Health 874 Measuring Liquidity 875 Methods for Dealing With 876 Inflation Risk The Objectives of Corporate 877 Planning and Budgeting Obtaining an Equity Value Using 878 the Weighted Average Cost of Capital (WACC) Preparing a Budget 879 Preparing a Cash Flow Forecast 880 Setting Up a Dividend Policy 881 Swaps, Options, and Futures: 882 What They Are and Their Function Understanding and Calculating the 883 Total Cost of Risk Understanding and Using Carry 884 Trades Understanding and Using 885 Currency Swaps Understanding and Using 886 Inflation Swaps Understanding and Using Interest 887 Rate Swaps Understanding and Using the Cash 888 Conversion Cycle Understanding Asset--Liability 889 Management (Full Balance Sheet Approach) Understanding Capital Structure 890 Theory: Modigliani and Miller Understanding Free Cash Flow 891 Understanding Hedge Ratios 892 Understanding Key Financial 893 Terms and Statements Understanding the Balance Sheet 894 Understanding the Cost of Capital 895 and the Hurdle Rate Understanding the Relationship 896 between the Discount Rate and Risk Understanding the Weighted 897 Average Cost of Capital (WACC) Understanding Yield/Revenue 898 Management Directors' and Officers' Liability 908 Insurance Directors' Duties: A Primer 909 Governance Practices in Family- 910 owned Firms Investors and the Capital Structure 911 Regulatory Responsibilities of 912 Executive and Non-executive Directors: An International Overview Requirements of the UK Combined 913 Code on Corporate Governance The Responsibilities of Trustees 914 Selecting the Board and 915 Evaluation Process Sound Business Judgment and 916 Immunity from Liability The Triple Bottom Line 917 Understanding Anti-Takeover 918 Strategies Understanding Crisis Management 919 Insurance and Financial Markets Including Macroeconomics Basel II--Its Development and Aims 920 Calculating Your Total Economic 921 Capital Captive Insurance Companies: 922 How to Reduce Your Costs Comparative and International 923 Financial Regulation Derivatives Markets: Their 924 Structure and Function Insolvency/Bankruptcy 925 Regulations in Major Regions The Interbank Market: Its 926 Structure and Function Key Islamic Banking Instruments 927 and How They Work Key Principles of Islamic Finance 928 Merchant Banks: Their Structure 929 and Function Retail Banks: Their Structure and 930 Function The Role of the Shariah Advisory 931 Covernance and Business Ethics Board in Islamic Finance 932 The Board's Role in Executive 899 Stress Testing to Evaluate Insurance Cover Compensation Business Ethics in Islamic Finance 900 Understanding and Calculating 933 Conflicting Interests: The Agency 901 Probable Maximun Loss (PML) Issue Understanding the Components of 934 Corporate Governance and Its 902 an Insurance Contract Interpretations Corporate Governance Practices in 903 Making and Managing Private Equity-owned Firms Investments Creating a Comprehensive Audit 904 Calculating a Company's Net 935 Committee Evaluation Form Worth Creating a Sustainable 905 Calculating Total Shareholder 936 Development Policy Return Creating Executive Compensation 906 Fund of Hedge Funds: 937 Defining Corporate Governance: 907 Understanding the Risks and lis Aims, Goals, and Returns Responsibilities Hedge Funds: Understanding the 938 Risks and Returns How to Use Credit Rating Agencies 939 Investing in Employee Pension 940 Plans: Understanding the Risks and Returns Mean--Variance Optimization: A 941 Primer An Overview of Shariah942 Compliant Funds Overview of Tax Deeds 943 Structured Investment Vehicles 944 Trading in Commodities: Why and 945 How Trading in Corporate Bonds: Why 946 and How Trading in Equities on Stock 947 Exchanges Trading in Government Bonds: 948 Why and How Understanding and Using the 949 Repos Market Understanding Price Volatility 950 Understanding Private-Equity 951 Strategies: An Overview Using Investment Funds (Unit and 952 Investment Trusts) Using Shareholder Value Analysis 953 Mergers and Acquisitions Achieving Success in International Acquisitions Acquiring a Company Acquisition Accounting MandA Regulations: A Global Overview Management Buyouts Planning the Acquisition Process Planning die Disposai Process The Rationale for an Acquisition Structuring MandA Deals and Tax Planning Using Dividend Discount Modela Using IRR for MandA Financing Using the Comparable Net Worth Method in Squeeze Outs Using the Market-Value Method for Acquisitions 954 955 956 957 958 959 96o 961 962 963 964 965 966 Operations Management Administering Contracts 967 Successfully Applying Cost--Benefit Analysis to 968 Project Appraisal Applying Stress-Testing to 969 Business Continuity Management Applying Stress-Testing to 970 Operational Risk Exposure Basic Steps for Starting a Business 971 Building an Efficient Credit and 972 Collection Accounts System Building an Electronic Invoicing 973 System Business Process Reengineering 974 Calculating Return on Investment 975 in Human Resources Choosing the Right Payment Poney 976 Commercial Aspects of Licensing 977 Competition Law: Key Financial 978 Issues Corporate Insurance Cover: A 979 Primer Costing a New Project 980 Creating a Risk Register ter 981 Distribution Agreements 982 Efficient Invoicing Procedures 983 Ensuring Effective Financial 984 Control How to Optimize Stock Control 985 Identifying Your Continuity Needs 986 Insuring Against Business 987 Interruption Intellectual Property--Copyright 988 Intellectual Property--Patents--An 989 International Overview Intellectual Property--Registered 990 Designs and Trademarks International Comparisons of 991 Company Law Inventory--How to Control It 992 Effectively Invoicing and Credit Control for 993 Small ami Medium-Sized Enterprises Islamic Commercial Law 994 Islamic Law of Contracta 995 Managing and Auditing the Risk of 996 Business Interruption Managing Bankruptcy and 997 Insolvency Performing a Skias Gap Analysis 998 Performing Total Cost of 999 Ownership Analysis Practical Purchasing Procedures 1000 Practical Techniques for 1001 Commercial Mediation The Principles of Litigation 1002 Setting Up a Key Risk Indicator 1003 System Structuring and Negotiating Joint 1004 Ventures Structuring, Negotiating, and 1005 Drafting Agency Agreements Understanding and Calculating 1006 RORAC, RAROC, and RARORAC Understanding Continuity 1007 Insurance Understanding the Financial 1008 Aspects of Employing People What Is Benchmarking? 1009 Raising Finance The Bond Market: Ils Structure and Function Dealing with Venture Capital Companies Financial Intermediaries: Their Role and Relation to Financial Markets Franchising a Business 1010 1011 1012 1013 How to Use Receivables as 1014 Collateral Measuring Gearing 1015 Money Markets: Their Structure 1016 and Function Options for Raising Finance 1017 Overview of Loan Agreements 1018 An Overview of Stockholders' 1019 Agreements Raising Capital by Issuing Bonds 1020 Raising Capital by Issuing Shares 1021 Raising Capital through Private 1022 and Public Equity Sovereign Wealth 1023 Funds--Investment Strategies and Objectives Steps for Obtaining Bank Financing 1024 Stock Markets: Their Structure 1025 and Function Understanding and Using Interest 1026 Coverage Ratios Understanding and Using 1027 Leverage Ratios Understanding Capital Markets, 1028 Structure and Function Understanding Debt Cover 1029 Understanding Fixed-Charge 1030 Coverage Using Mezzanine Financing 1031 Regulation and Compliance Balancing Hedging Objectives with 1032 Accounting Rules (FAS 133) The Chief Audit Executive's (CAE) 1033 Roles and Responsibilifies Establishing a Framework for 1034 Assessing Risk The EU Regulatory Regime 1035 IFRS: The Basics 1036 The HA Code of Ethics 1037 Key Accounting Standards and 1038 Organizations Key Components of a Corporate 1039 Risk Register The Key Components of an Audit 1040 Report Middle East: Regulatory Structure 1041 and Powers MiFID--Its Development and Aims 1042 Preparing Financial Statements: 1043 Balance Sheets Preparing Financial Statements: 1044 Profit and Loss Accounts (PandLs) Principles of Financial Services 1045 Regulation Regulatory and Capital Issues 1046 under Shariah Law Sarbanes--Oxley: lis Development 1047 and Aims Solvency II: ils Development and 1048 Aims Stress Testing and Scenario Analysis for Keeping Up with Regulation 1049 The Ten Accounting Principles Understanding Internai Capital Adequacy Assessment Process (ICAAP) Understanding Impairment Accounting: What It Is and When It Is Used Understanding Internai Audits Understanding the Key Components of GAAP: The Continuing Concern Concept United Kingdom: Regulatory Structure and Powers Using and Understanding Financial Ratios for Analysis What Is Forensic Auditing? 1050 1051 1052 1053 1054 1055 1056 1057 Strategy and Performance Appraising Investment 1058 Opportunities Assessing Business Performance 1059 Assessing Economies of Scale in 1060 Business Understanding Decision-Tree 1061 Analysis Understanding Key Performance 1062 Indicators Understanding Pareto's Law 1063 Understanding Real Options 1064 Understanding Strategy Maps 1065 Calculations and Ratios Accounts Payable Turnover Ratio Accounts Receivable Turnover Accrual Rate Acid-Test Ratio Activity-Based Costing Alpha and Beta Values of a Security Amortization Annual Percentage Rate Asset Turnover Asset Utilization Basis Point Value Binomial Distribution Bond Yield Book Value Borrowing Costs and Capitalization Break-Even Analysis Capital Asset Pricing Model Capital Expenditure Capitalization Ratios Central Limit Theorem Contribution Margin Conversion Price Conversion Ratio Convertible Preferred Stock Cost of Goods Sold Covariance Creating a Balance Sheet Creating a Cash Flow Statement Creating a Profit and Loss (PandL) Account Creditor and Debtor Days Current Price of a Bond 1070 1070 1071 1071 1072 1074 1075 1076 1076 1077 1078 1078 1079 1080 1081 1082 1083 1084 1084 1085 1086 1086 1087 1088 1089 1090 1091 1092 1092 1093 1094 Current Ratio 1095 Days Sales Outstanding 1095 Debt/Capital Ratio 1096 Debt/Equity Ratio 1096 Defining Assets 1097 Depreciation 1098 Discounted Cash Flow 1099 Distinguishing Between a Capital 1100 and an Operating Lease Dividend Yield 1101 Earnings at Risk 1101 Earnings per Share 1102 EBITDA 1103 Economic Value Added 1104 Efficiency and Operating Ratios 1104 Elasticity 1105 Enterprise Value 1105 Exchange Rate Risk 1106 Expected Rate of Return 1108 Fair Value Calculations tio8 Fixed-Deposit Compound Interest 1109 Forward Interest Rates 1109 Future Value 1110 Future Value of an Annuity 1110 Goodwill and Patents 1111 Gross Profit Margin Ratio 1112 Interest Coverage 1112 Internai Rate of Return 1113 Liquidity Ratio Analysis 1114 Management Accounts 1115 Marginal Cost 1115 Marginal Rate of Substitution 1116 Market/Book Ratio 1117 Net Added Value (NAV) and 1117 Adjusted NAV Net Present Value 1118 Nominal and Real Interest Rates 1119 Option Pricing 1120 Payback Period 1121 Payout Ratio 1121 Portfolio Analysis: Duration, 1122 Convexity, and Immunization Price/Earnings Ratio 1123 Price Elasticity 1124 Price/Sales Ratio 1124 Quantitative Methods 1125 Rate of Return 1126 Reading an Annual Report 1126 Reserve Ratio 1128 Residual Value 1129 Return on Assets 1129 Return on Investment 1130 Return on Sales 1131 Return on Stockholders' Equity 1131 Risk-Adjusted Rate of Return 1132 Scenarlo Analysis 1133 Sharpe Ratio 1134 Statistical Process Control Methods 1134 Stochastic Modeling 1135 Stress Testing 1136 Swap Valuation 1137 Terni Structure of Interest Rates 1137 Tick Value 1138 Time Value of Money 1139 Total Return Treynor Ratio Value at Risk Weighted Average Cost of Capital Working Capital Working Capital Cycle Working Capital Productivity Yield Z-Score FINANCE THINKERS AND LEADERS Prince M-Walid bin Talai Igor Ansoff Louis Bachelier Gary Becker Peter L. Bernstein Fischer Black Gary Brinson Warren Buffett Andrew Carnegie Ronald Harry Coase John C. Cox Gottlieb Daimler Joseph de la Vega Marc Faber Eugene Fama Irving Fisher John Kenneth Galbraith Louis Gerstner Benjamin Graham Alan Greenspan Friedrich Hayek Daniel Kabneman John Maynard Keynes Edwin Lefèvre Burton Malkiel Harry Markowitz Robert Merton Merton Miller Franco Modigliani J. P. Morgan Nicholas Negroponte Paul H. O'Neill Michael Eugene Porter C. K. Prahalad David Ricardo John D. Rockefeller Stephen A. Ross Nouriel Roubini Paul Samuelson Jean-Baptiste Say Myron Scholes Ernst Friedrich Schumacher Joseph Schumpeter William F. Sharpe Jeremy Siegel Ernst Werner von Siemens Adam Smith George Soros Joseph Stiglitz Sun Tzu Richard Thaler 1140 1140 1141 1141 1142 1143 1144 1144 1145 Jantes Tobin Amos Tversky Arnold, Lord Weinstock Jack Welch Mohammad Yunus Robert Zoellick 1201 1202 1203 1204 1205 1206 1150 1151 1152 1153 1154 1155 1156 1157 1158 1159 116o 1161 1162 1163 1164 1165 1166 1167 1168 1169 1170 1171 1172 1173 1174 1175 1176 1177 1178 1179 118o 1181 1182 1183 1184 1185 1186 1187 1188 1189 1190 1191 1192 1193 1194 1195 1196 1197 1198 1199 1200 FINANCE LIBRARY Absolute Returns: The Risk and 1212 Opportunities of Hedge Fund Investing Alexander M. Ineichen Accounting and Finance for Non- 1213 Specialists Peter Atrill and Eddie McLaney Advances in Behavioral Finance 1214 Richard H. Thaler (ed) Against the Gods: The Remarkable 1215 Story of Risk Peter L. Bernstein The Age of Discontinuity: 1216 Guidelines to Our Changing Society Peter F. Drucker The Age of Turbulence: 1217 Adventures in a New World Alan Greenspan The Alchemy of Finance: Reading 1218 the Mind of the Market George Soros The Art of Japanese Management 1219 Richard Tanner Pascale and Anthony J. Athos The Art of War Sun Tzu 1220 Balanced Scorecard: Translating 1221 Strategy into Action Robert S. Kaplan and David P. Norton Banker to the Poor: The Story of 1222 the Grameen Bank Muhammad Yunus and Alan Jolis Barbarians at the Gate: The Fali of 1223 RJR Nabisco Bryan Burrough and John Helyar The Basel Handbook: A Guide for 1224 Financial Practitioners Michael K. Ong (ed) A Behavioral Theory of the Firm 1225 Richard Cyert and James G. March Being Digital Nicholas Negroponte 1226 The Black Swan: The Impact of the 1227 Highly Improbable Nassim Nicholas Taleb Blink: The Power of Thinking 1228 without Thinldng Malcolm Gladwell Blue Ocean Strategy: How to 1229 Create Uncontested Market Space and Make the Competition Irrelevant W. Chan Kim and Renée Mauborgne The Bottom Billion: Why the 1230 Poorest Countries Are Failing and What Can Be Done About it Paul Collier The Box: How the Shipping 1231 Container Made the World Smaller and the World Economy Bigger Marc Levinson Business @ the Speed of Thought: 1232 Succeeding in the Digital Economy Bill Gates The Caring Economy: Business 1233 Principles for the New Digital Age Gerry McGovern Cashflow Reengineering: How to 1234 Optimize the Cashflow Timeline and Improve Financial Efficiency James Sagner Common Stocks and Uncommon 1235 Profits Philip A. Fisher Competing for the Future 1236 Gary Hamel and C. K. Prahalad The Competitive Advantage of 1237 Nations Michael E. Porter Competitive Strategy: Techniques 1238 for Analyzing Industries and Competitors Michael E. Porter Confusién de Confusiones 1239 Joseph de la Vega Conquer the Crash: You Can 1240 Survive and Prosper in a Deflationary Depression Robert R. Prechter Corporate Financial Management 1241 Glen Arnold Corporate-Level Strategy: Creating 1242 Value in the Multibusiness Company Michael Goold, Andrew Campbell, and Marcus Alexander Corporate Strategy: An Analytic 1243 Approach to Business Poney for Growth and Expansion H. Igor Ansoff Cost and Effect: Using Integrated 1244 Cost Systems to Drive Profitability and Performance Robert S. Kaplan and Robin Cooper Damodaran on Valuation: Security 1245 Analysis for Investment and Corporate Finance Aswath Damodaran The Death of Distance: How the 1246 Communications Revolution Is Changing Our Lives and Our Work Frances Caimcross A Demon of Our Own Design 1247 Richard Bookstaber Digital Capital: Harnessing the 1248 Power of Business Webs Don Tapscott, David Ticoll, and Alex Lowy The Essence of Financial 1249 Management David R. Myddelton The EVA Challenge: Implementing 1250 Value-Added Change in an Organization Joel M. Stem and John S. Shiely Extraordinary Popular Delusions 1251 and the Madness of Crowds Charles Mackay A Farewell tu Alms A Brief 1252 Economic History of the World Gregory Clark FIASCO: The Inside Story of a Wall 1253 Street Trader Frank Partnoy Finance Zvi Bodie and 1254 Robert C. Merton The Finance Matinal for Non1255 Financial Managers: The Power to Make Confident Financial Devisions Paul McKoen and Leo Gough Financial Accounting and 1256 Reporting Barry Elliott and Jamie Elliott Financial Control for Non1257 Financial Managers David Irwin Financial Management Jae K. Shim 1258 and Joel G. Siegel Financial Management: An 1259 Introduction Jim McMenamin Financial Management for the 1260 Small Business Colin Barrow Financial Strategy: Adding 1261 Stakeholder Value Janette Rutterford (ed) The Financial Times Handbook of 1262 Financial Management Steve Robinson Fooled by Randomness: The 1263 Hidden Role of Chance in Life and in the Markets Nassim Nicholas Taleb Foundations of Multinational 1264 Financial Management Alan C. Shapiro and Atulya Sarin Frank Wood's Business 1265 Accounting, Volumes 1 and 2 Frank Wood and Alan Sangster Freakonomics: A Rogue 1266 Economist Explores the Hidden Side of Everything Steven D. Levitt and Stephen J. Dubner The Functions of the Executive 1267 Chester I. Barnard Futures, Options, and Swaps 1268 Robert W. Kolb The Global Financial System: A 1269 Functional Perspective Dwight B. Crane, Kenneth A. Froot, Scott P. Mason, André F. Perold, Robert C. Merton, Zvi Bodie, Erik R. Sirri, and Peter Tufano Globalization and Its Discontents 1270 Joseph Stiglitz Governance and Risk: An 1271 Analytical Handbook for Investors, Managers, Directors, and Stakeholders George Dallas (ed) The Great Crash, 1929 1272 John Kenneth Galbraith The Gridlock Economy: How Too 1273 Much Ownership Wrecks Markets, Stops Innovation, and Costs Lives Michael Heller How the Stock Market Works 1274 Michael Becket How to Be Rich J. Paul Getty 1275 Inefficient Markets: An 1276 Introduction to Behavioral Finance Andrei Shleifer Information Rules: A Strategic 1277 Guide to the Network Economy Carl Shapiro and Hal R. Varian Innovation Corrupted: The Origins 1278 and Legacy of Enron's Collapse Malcolm S. Salter Intellectuel Capital: The New 1279 Wealth of Organizations Thomas A. Stewart The Intelligent Investor 1280 Benjamin Graham International Financial 1281 Management Cheol S. Eun and Bruce G. Resnick Introduction to Accounting 1282 Fru Marriott, J. R. Edwards, and H. J. Mellett An Introduction to Islamic 1283 Finance Theory and Practice Zamir Iqbal and Abbas Mirakhor Inventing Money: The Story of 1284 Long-Tenu Capital Management and the Legends Behind It Nicholas Dunbar Investments Zvi Bodie, Alex Kane, 1285 and Alan J. Marcus Irrational Exuberance 1286 Robert J. Shiller Juran on Planning for Quality 1287 Joseph M. Juran Liar's Poker: Rising Through the 1288 Wreckage on Wall Street Michael Lewis The Living Company: Habits for 1289 Survival in a Turbulent Business Environment Arie de Geus Macroeconomics 1290 N. Gregory Mankiw Management Accounts: How to 1291 Use Them to Control Your Business Tony Skone Managing Harold Geneen and 1292 Alvin Moscow Managing Across Borders: The 1293 Transnational Solution Christopher A. Bartlett and Sumantra Ghoshal Managing Financial Resources 1294 Mick Broadbent and John Cullen Market Wizards: Interviews with 1295 Top Traders Jack D.Schwager Scandalous Fall of Enron Bethany McLean and Peter Elkind The Snowball: Warren Buffett and 1319 the Business of Life Alice Schroeder Stocks for the Long Ruts: 'The 1320 Definitive Guide to Financial Market Returns and Long-Terni Investment Strategies Jeremy J. Siegel Take On the Street: What Wall 1321 Street and Corporate America Don't Want You to Know Arthur Levitt Taxes and Business Strategy: A 1322 Planning Approach Myron S. Scholes, Mark A. Wolfson, Merle M. Erickson, Edward L. Maydew, and Terrence J. Shevlin A Non-Random Waik Down Wall 1303 Technical Analysis of the Financial 1323 Street Andrew W. Lo and Markets: A Comprehensive A. Craig Mackinlay Guide to Trading Methods and On the Economy of Machinery and 1304 Applications John J. Murphy Manufactures Charles Babbage Test Your Financial Awareness 1324 One Up on Wall Street: How to Use 1305 John Hodgson What You already Know to Make Money The Theory of Finance 1325 in the Market Peter Lynch Eugene F. Fama and Option Volatility and Pricing: 1306 Merton H. Miller Advanced Trading Strategies The Theory of Social and 1326 and Techniques Economic Organization Sheldon Natenberg Max Weber Options, Futures, and Other 1307 The Tipping Point: How Little 1327 Derivatives John C. Hull Things Can Make a Big The Portable MBA in Finance and 1308 Difference Malcolm Gladwell Accounting Theodore Grossman Traders, Guns, and Money: 1328 and John Leslie Livingstone (eds) Portfolio Knowns and Unknowns in the Selection: Efficient 1309 Dazzling World of Derivatives Diversification of Investments Satyajit Das Harry Markowitz The Undercover Economist 1329 Portfolio Theory and Capital 1310 Tim Harford Markets William Sharpe Valuation: Measming and 1330 The Practice of Management 1311 Managing the Value of Peter Drucker Companies Tom Copeland, Principles of Corporate Finance 1312 Tim Koller, and Jack Murrin Richard A. Brealey, Stewart C. Value at Risk Philippe Jorion 1331 Myers, and Franklin Allen The Warren Buffett Way 1332 A Random Walk Down Wall Street: 1313 Robert G. Hagstrom The Time-Tested Strategy for Successful The Wealth of Nations Adam Smith 1333 Investing What Went Wrong at Enron: 1334 Burton G. Malkiel Everyone's Guide to the Largest Reengineering the Corporation: A 1314 Bankruptcy in US History Manifesto for Business Peter C. Fusaro and Ross M. Miller Revolution Michael Hammer and When Genius Failed: The Rise and 1335 James Champy Fall of Long-Term Capital Management Reminiscences of a Stock Operator 1315 Roger Lowenstein Edwin Lefèvre When Markets Collide: Investment 1336 The Aise and Fall of Strategic 1316 Strategies for the Age of Global Planning Henry Mintzberg Economic Change The Six Sigma Way: How GE, 1317 Mohamed A. El-Erian Motorola and Other Top Why Smart People Make Big 1337 Companies are Honing Their Money Mistakes and How to Performance Peter S. Pande, Correct Them Gary Belsky and Robert Neuman, and Thomas Gilovich Roland R. Cavanagh Wikinomics: How Mass 1338 The Smartest Guys in the Room: 1318 Collaboration Changes The Amazing Rise and Mastering Financial Management: 1296 Demystify Finance and Transform Your Financial Skills of Management Stephen Brookson Mastering Risk, Volume 1: 1297 Concepts James Pickford (ed) The (Mis)behavior of Markets 1298 Benoit Mandelbrot and Richard L. Hudson The Money Game Adam Smith 1299 Monkey Business: Swinging 1300 Through the Wall Street Jungle John Rolfe and Peter Troob Multinational Business Finance 1301 David K. Eiteman, Arthur I. Stonehill, and Michael H. Moffett My Life as a Quant Emanuel Derman 1302 Everything Don Tapscott and Anthony D. Williams COUNTRY AND SECTOR PROFILES Country Profiles Algeria 1343 Angola 1344 Antigua and Barbuda 1346 Argentin 1347 Australia 1349 Austria 1350 The Bahamas 1352 Bahrain 1353 Bangladesh 1355 Barbados 1356 Belgium 1358 Bermuda 1359 Bolivia 1361 Botswana 1362 Brazil 1364 British Virgin Islands 1365 Brunei 1366 Canada 1368 Cayman Islands 1369 Channel Islands 1371 Chile 1372 China 1374 Colombia 1375 Cook Islands 1377 Croatia 1378 Cyprus 1380 Czech Republic 1381 Demnark 1383 Dominica 1384 Ecuador 1386 Egypt 1387 Estonia 1389 Finland 1390 France 1392 Germany 1393 Ghana 1395 Gibraltar 1397 Greece 1398 Hong Kong 1400 Hungary 1401 Iceland 1403 India 1404 Indonesia 1406 Iran 1408 Iraq 1409 Ireland 1411 Isle of Man 1412 Israel and the Palestinian 1414 Territories Italy 1415 Japan 1417 Jordan 1418 Kuwait 1420 Latvia 1421 Lebanon 1423 Libya 1424 Liechtenstein 1426 Lithuania 1428 Luxembourg 1429 Macau Malaysia Malta Mauritius Mexico Monaco Montserrat Morocco Nauru The Netherlands New Zealand Nigeria Norway Pakistan Panama Peru The Philippines Poland Portugal Qatar Romania Russia Saudi Arabia Seychelles Singapore Slovak Republic Slovenia South Africa South Korea Spain St KIM and Nevis Sweden Switzerland Syria Taiwan Thailand Tunisia Turkey Turks and Caicos Islands United Arab Emirates United Kingdom United States of America Ukraine Venezuela Sector Profiles Automobiles Aviation Banldng and Financial Services Chemicals Construction and Building Materials Defense E-Commerce Electronics Energy Engineering Food and Agribusiness Healthcare and Pharmaceuticals Insurance Information Technology Media Mining Oil and Gas Professional Services 1431 1432 1433 1435 1436 1438 1439 1441 1442 1444 1445 1447 1448 1449 1451 1452 1454 1455 1456 1458 1459 1461 1463 1464 1466 1467 1469 1470 1472 1474 1475 1477 1478 1480 1481 1483 1484 1486 1487 1489 1490 1492 1493 1495 1497 1498 1500 1502 1504 1506 1508 1510 1512 1514 1515 1518 1520 1522 1523 1525 1527 1529 Real Estate Retail Shipping Steel Telecoms Tourism and Hotels Transport and Logistics Water Outsourcing Pension Fund Finance Pricing Private Equity Process Control and Statistical Process Control Project Finance Purchasing and Supply Chain Management FINANCE INFORMATION SOURCES Retail Banking Accounting 1550 Risk Management Acquisitions, Takeovers, and 1554 Selling and Salesmanship Mergers Small and Growing Businesses Social Responsibility of Analytical Techniques and Statistics 1557 Management Asset and Liability Management 1559 Structured Finance Auditing and Management Audit 1561 Technical Analysis Bankruptcy and Business Failure 1563 Trading Bebavioral Finance 1566 Transport Finance Benchmarking 1568 Venture Capital Bonds/Fixed Income 1570 Wealth Management Budgeting 1573 Business Appraisal and 1576 QUOTATIONS Performance Measurement Ability Business Ethics and Codes of 1580 Accounting Accuracy Practice Business Plans and Planning 1584 Achievement Business Process Reengineering 1586 Action Adversity Capital Markets and Stock Markets 1588 Advertising Central Banking 1591 Ambition Contingency, Criais, Disaster 1594 Attitude Banking Management Corporate Culture 1597 Blame Corporate Insurance 1600 Boasting Corporate Strategy 1606 Boldness Corporate Valuation 1610 Boom and Bust Credit and Debt Management 1614 Brands Currency and Foreign Exchange 1616 Budgeting Derivatives and Quantitative 1618 Bureaucracy Finance Business Ethics Econometrics 1622 Capitalism Emerging Market Finance 1625 Capitalism versus Socialism Energy and Commodity Finance 1628 Careers Financial Economics 1631 Challenge Financial Modeling 1635 Change Forecasting and Scenario Planning 1638 Character Hedge Funds, Fund Management, 1641 Choice and Alternative Investments Civilisation Intellectual Property 1644 Cooperation International Finance 1647 Conunon Sense International Management, 1650 Communication Cross-Cultural Management Competition Investment 1653 Computers Islamic Finance 1659 Confidence and Self-Befief Knowledge Management 1664 Conscience Leadership 1669 Consultants and Advisers Management Buyouts 1675 Consumption Management Styles 1677 Contracts Management Theorists 1679 Corporate Culture Market Research and Competitor 1681 Corporate Responsibility Intelligence Corruption and Scandai Mathematical Finance 1684 Creativity Money Laundering 1687 Criticism Mortgage Finance 1690 Operations Management 1694 1531 1532 1534 1536 1538 1540 1541 1543 1697 1699 1703 1705 1709 1711 1714 1717 1721 1725 1729 1735 1738 1741 1744 1747 1750 1753 1760 1760 1760 1760 1760 1761 1761 1762 1762 1762 1764 1764 1764 1764 1766 1766 1766 1766 1768 1768 1769 1769 1769 1771 1771 1771 1772 1772 1772 1773 1773 1774 1774 1774 1775 1775 1775 1776 1777 1778 1778 Customers Debt Decisions Delegating Details Determination Discrimination Doing Business in Africa Doing Business in Asia-Pacific Doing Business in Europe Doing Business in India Doing Business in Latin America Doing Business in North America E-Commerce Economics Education Efficiency Employees Employers Enthusiasm Entrepreneurs Environment Excellence Executives Expectations Experience Failure Fear Finance Focus Forecasting Getting Started Globalization Goals and Objectives Government Greed Growth Hiring and Firing Honesty Idem Image Imagination 1779 1779 1780 1780 1780 1780 1781 1781 1781 1782 1782 1782 1782 1783 1783 1785 1785 1785 1786 1786 1786 1786 1786 1787 1787 1787 1788 1789 1789 1792 1792 1792 1793 1793 1794 1794 1795 1795 1795 1795 1796 1796 Independence Industrial Relations Industry Information Innovation Intelligence Investment Jobs Judgements Knowledge Law and Lawyers Leadership Learning Listening Losing Loyalty Luck Management Marketing Media Meetings Mergers and Demergers Mistakes Money Motivation Negotiation Nepotism Office Politics Opinions Opportunity Order Organizations 1810 Originality People and Relationships Perfection Performance Persistence Personalities Philanthropy Planning Power Praise and Recognition 1797 1797 1797 1798 1798 1799 1799 1800 1800 1800 1801 1801 1802 1803 1803 1803 1803 1804 1805 1805 1806 1806 1806 1807 1808 1808 1809 1809 1809 1809 1810 1811 1811 1811 1812 1812 1812 1813 1813 1814 Principles Priorities Problems and Obstacles Procrastination Productivity Products Profits Progress Publicity Quality Reputation Research Responsibility Risk Taking Science Selling Service Sincerity Socialism and Communism Society Speeches Statistics Strategy Stress Success Talent Targets Taxes Teams Technology Time Management Travel Trust Value Vision Wages Wealth Winners and Winning Women in Business Work and Employment Author Index 1815 1815 1815 1816 1816 1817 1817 1817 1818 1818 1818 1818 1819 1819 1820 1820 1820 1820 1821 1821 1821 1822 1822 1822 1823 1824 1824 1824 1824 1824 1825 1825 1826 1826 1826 1826 1827 1828 1828 1828 1831

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Koha 18.11 - INSEAD Catalogue
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