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Financial risk management

Xem 1-20 trên 31 kết quả Financial risk management
  • The term “Entrepreneurship” refers to innovative, high-risk, and rapidly expanding business ventures that frequently need a substantial cash source. Most of the initial funding comes from individual savings or family’s financial support. To evaluate the knowledge and factors affecting the entrepreneurship of young pharmacists in the Mekong Delta from May 2023 to November 2023.

    pdf9p vinatisu 29-08-2024 2 0   Download

  • Underpinned by the technology-organisation-environment framework, this paper aims to present a theoretical model of barriers to e-marketplace adoption by Vietnamese SMEs. The theoretical model reveals twelve critical barriers, including lack of benefits, lack of compatibility, complexity, perceived risks, costs, lack of top management support, lack of knowledge readiness, lack of financial readiness, lack of innovativeness, lack of customer support, lack of external support, and lack of government support.

    pdf18p toduongg 24-08-2024 2 1   Download

  • Bài giảng Quản trị rủi ro tài chính (Financial risk management) - Bài 1: Tổng quan về quản trị rủi ro tài chính doanh nghiệp. Bài này nhằm giới thiệu khái niệm, phân loại và bàn luận về các cách ứng xử của nhà quản trị doanh nghiệp đối với rủi ro tài chính; làm rõ khái niệm, mục tiêu, ý nghĩa và quy trình quản trị rủi ro tài chính của doanh nghiệp;... Mời các bạn cùng tham khảo!

    pdf15p hidetoshidekisugi 16-06-2022 49 10   Download

  • Bài giảng Quản trị rủi ro tài chính (Financial risk management) - Bài 2: Quản trị rủi ro tín dụng doanh nghiệp. Bài này cung cấp cho học viên những kiến thức về: mô tả các nguồn rủi ro tín dụng cơ bản của doanh nghiệp và đối tác; mở rộng việc bàn luận về rủi ro tín dụng từ quan điểm hẹp sang quan điểm rộng; bàn luận về các kỹ thuật nhận dạng rủi ro tín dụng, phân tích cấu trúc và đánh giá rủi ro tín dụng, kiểm soát rủi ro tín dụng và tài trợ tổn thất do rủi ro tín dụng;...

    pdf11p hidetoshidekisugi 16-06-2022 37 9   Download

  • Bài giảng Quản trị rủi ro tài chính (Financial risk management) - Bài 3: Quản trị rủi ro lãi suất của doanh nghiệp. Bài này cung cấp cho học viên những kiến thức về: bàn luận về nguồn rủi ro lãi suất và các nguy cơ truyền thống cũng như các nguy cơ mới phát sinh; trình bày các kỹ thuật nhận dạng rủi ro lãi suất, phân tích cấu trúc và đánh giá rủi ro lãi suất, kiểm soát và tài trợ tổn thất do rủi ro lãi suất;... Mời các bạn cùng tham khảo!

    pdf10p hidetoshidekisugi 16-06-2022 36 8   Download

  • Bài giảng Quản trị rủi ro tài chính (Financial risk management) - Bài 4: Quản trị rủi ro hối đoái của doanh nghiệp. Bài này cung cấp cho học viên những kiến thức về: thảo luận về các kỹ thuật nhận dạng, phân tích cấu trúc và đánh giá rủi ro hối đoái; so sánh các quan điểm quản trị rủi ro hối đoái; đánh giá các kỹ thuật giảm thiểu tổn thất do rủi ro hối đoái thông qua việc điều chỉnh trong hoạt động kinh doanh;... Mời các bạn cùng tham khảo!

    pdf12p hidetoshidekisugi 16-06-2022 32 8   Download

  • Based on applying the basic theory of financial risk and financial risk management, the thesis studies financial risk management at Vinacomin’s enterprises during 2013-2019. From there, the thesis provides policy recommendations to strengthen financial risk management at Vinacomin's enterprises in order to prevent and minimize financial risk, and improve financial management quality and business efficiency.

    doc28p closefriend09 16-11-2021 19 4   Download

  • The thesis assesses the impact of 3 decisions in financial management of enterprises listed on the stock exchange in Vietnam in an overall and comprehensive manner. Evaluate the law of impact, give recommendations to business managers to improve corporate financial performance.

    pdf13p mmlemmlem_124 22-12-2020 33 2   Download

  • The thesis is based on the application of the fundamental theory of financial risks, the thesis aims at analyzing financial risks in telecommunications businesses. From there, it implies appropriate policies to control the financial risks of enterprises in order to prevent and minimize financial risks, improve the quality of financial management and business efficiency.

    pdf0p cothumenhmong6 17-07-2020 42 1   Download

  • This paper set out with the aim of answering the question to what extent the financial risks are bearded by the select automobile industries. A theoretical framework describing risk management approach to captives is discussed.

    pdf6p guineverehuynh 21-06-2020 19 2   Download

  • In Malaysia, the initial public offering (IPO) market has seen some changes in 2016 due to poor economic conditions. Project risk management practices in IPO projects by investment bank are to be explored in this paper. This will be done to identify their positive impact on an IPO project in Malaysia to understand the significance of the role of project risk management in determining IPO success. The goal of the IPO is to obtain approval for it to be launched in the stock exchange market.

    pdf109p nguyenyenyn117 17-06-2019 49 10   Download

  • This paper provides both internal and external investors with two risk parameters, Equity and asset beta, indicating investment parameters, as reference in their investment activities, because of a normal concept that riskier investment requyring better ROI. It alsogives financial institutions, companies and government more evidence in managing their policies.

    pdf10p sieunhansoibac4 12-04-2018 37 3   Download

  • On the basis of clarifying the general theoretical issues about market risk, methods of identifying, measuring and controlling market risk, the system of market risk management softwares at commercial banks; analyzing and evaluating the status quo of the market risk management in Vietnam Joint Stock Commercial Bank for Industry and Trade; the thesis proposed solutions to improving market risk management ability at Vietnam Joint Stock Commercial Bank for Industry and Trade in accordance with international practices.

    pdf14p change05 14-06-2016 52 4   Download

  •  Bài giảng "Quản trị kinh doanh quốc tế (International business international business managementmanagement) - Chương 12: Quản trị tài chính quốc tế" cung cấp cho người học các kiến thức: Xác định mối liên hệ công ty mẹ – con, quản trị rủi ro tài chính (Financial Risk Management), lập ngân sách vốn quốc tế (International Capital Budgeting),... Mời các bạn cùng tham khảo.

    pdf44p doinhugiobay_08 23-12-2015 175 28   Download

  • The purpose of this research is to determine the factors that affect the profitability of commercial banks in Vietnam. Beside, the article has given the best solution to managers and investors to decide their business strategy and minimize financial risk.

    pdf6p namthangtinhlang_02 08-11-2015 225 10   Download

  • Chapter 19 Bank Management: describe the underlying goal, strategy, and governance of banks, explain how banks manage liquidity, explain how banks manage interest rate risk, explain how banks manage credit risk, explain integrated bank management.

    ppt45p phanthphan 30-01-2015 60 8   Download

  • World Map Financial Derivatives Financial derivatives are financial instruments that are linked to a specific financial instrument or indicator or commodity, and through which specific financial risks can be traded in financial markets in their own right. Transactions in financial derivatives should be treated as separate transactions rather than as integral parts of the value of underlying transactions to which they may be linked. The value of a financial derivative derives from the price of an underlying item, such as an asset or index.

    pdf336p la_la123 04-04-2013 174 47   Download

  • This dissertation addresses how the weather derivative hedges the corporate risk, how to price the indexed derivative as an exotic derivative instrument, and the implications of basis risk. These topics are summarized in an expanded uncertainty model. Under this framework, different hedging instruments for studying the optimal hedging portfolios are compared.

    pdf151p mualan_mualan 25-02-2013 83 18   Download

  • E very month, it seems, Wall Street comes up with some newfangled investment idea. The array of financial products (replete with 164-page prospectuses) is now so dizzying that the old lumpy mattress is starting to look like a more comfortable place to stash the cash. But there is one relatively new product out there definitely worth looking at. It’s something of a cross between an index mutual fund and a stock, and it’s called an exchangetraded fund, or ETF.

    pdf387p baobinh1311 25-09-2012 75 25   Download

  • Basic Skills: (Time value of money, Financial Statements) Investments: (Stocks, Bonds, Risk and Return) Corporate Finance: (The Investment Decision - Capital Budgeting) For Investors, the rate of return on a security is a benefit of investing. For Financial Managers, that same rate of return is a cost of raising funds that are needed to operate the firm. In other words, the cost of raising funds is the firm’s cost of capital.

    ppt47p huynhcongdanh 12-06-2012 124 34   Download

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