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The National Wealth-Income Ratio in Greece, 1974 – 2013
The National Wealth-Income Ratio in Greece, 1974 – 2013

... Data are taken from national sources; a thorough description of them and of the way they were collected is pursued in the appendix (A.1–A.7). Briefly, data on financial assets are obtained from the 1997-2013 Financial Accounts compiled by the Bank of Greece (BoG)5 . The Housing Price Index and the C ...
PDF - Common Sense Economics
PDF - Common Sense Economics

...  Financing ...
PPTX - Common Sense Economics
PPTX - Common Sense Economics

...  Financing ...
Industrial Policy Challenges in Resource- Rich Countries
Industrial Policy Challenges in Resource- Rich Countries

... advances in processed goods.4 There are also some recent developing country cases worldwide which successfully manage huge mineral resources; yet it remains one of the most egregious facts in Africa’s post-independence history that not a single oil-producing country has ever put the returns to cons ...
7_CashFlowStatement
7_CashFlowStatement

... Cash Flow Statement IAS 7  Fundamental Principle in IAS 7 All enterprises that prepare financial statements in conformity with IFRSs are required to present a statement of cash flows.  Objective of IAS 7  to require the presentation of information about the historical changes in cash and cash e ...
EN EN Foreword The Commission`s priority – Europe`s priority – is
EN EN Foreword The Commission`s priority – Europe`s priority – is

... increasingly straightforward; and seeking funding in another Member State is not impeded by unnecessary legal or supervisory barriers. While these changes will help to reduce reliance on bank financing, as lenders to a significant proportion of the economy and intermediaries in capital markets, bank ...
Option Pricing Theory and Applications
Option Pricing Theory and Applications

... could use their traded market capitalizations to estimate the values of the cross holdings. You do risk carrying into your valuation any mistakes that the market may be making in valuation. The relative value solution: When there are too many cross holdings to value separately or when there is insuf ...
Think Again. - Cambria Investment Management
Think Again. - Cambria Investment Management

... Dividend ETF (DVY), Vanguard High Dividend Yield ETF (VYM), iShares Core High Dividend ETF (HDV), SPDR S&P Dividend ETF, SPDR S&P Dividend ETF (SDY), and the PowerShares Buyback Achievers ETF (PKW). We’ve placed them in descending order, with the values as of 3/31/17. We chose five of these ETFs as ...
World Selection® Portfolio Growth Portfolio
World Selection® Portfolio Growth Portfolio

... Limited (“AMCA”) and distributed by HIFC. AMCA provides discretionary investment management services to the portfolios in the HSBC World Selection Portfolio service. Commissions, trailing commissions, management fees, investment management fees and expenses all may be associated with investments in ...
the LKE fact sheet here
the LKE fact sheet here

... These price declines would reduce the wealth of a large cross-section of households and slow or stop construction in many local markets. Rents would increase. Over time, real rents would need to increase from 8 to 13 percent before new construction would be economically viable. These higher rents wo ...
Janus Research Fund - Proxy
Janus Research Fund - Proxy

... broker-dealers and institutions. There is the risk that when portfolio securities are lent, the securities may not be returned on a timely basis, and the Fund may experience delays and costs in recovering the security or gaining access to the collateral provided to the Fund to collateralize the loan ...
Shipping Rates
Shipping Rates

... The opinions voiced in this material are for general information only and are not intended to provide or be construed as providing specific investment advice or recommendations for any individual. To determine which investments may be appropriate for you, consult your financial advisor prior to inve ...
Lecture 1
Lecture 1

... by the state and local governments to finance expenditures on roads, schools, and other programs.  Interest payments from these bonds are exempt from federal income tax and generally from the state taxes issuing the bond. ...
Bubbles, Financial Crises, and Systemic Risk
Bubbles, Financial Crises, and Systemic Risk

... bubble is forming. For example, if there has never been a nationwide decline in nominal house prices, agents may extrapolate that house prices will also not decline in the future (extrapolative expectations). Market participants are especially prone to such extrapolative expectations if there is a l ...
Firms` capital structure decisions and product market
Firms` capital structure decisions and product market

... competitors who were considered to be near rivals" (p. 81) Corroboration for these findings is found in a survey report authored by Scott and Johnson (1982). They reported that industry-wide leverage ratios were an important influence on a firm's leverage decisions. It is also well known that rating ...
W-9 Requirements for Vendor Management System For the purpose
W-9 Requirements for Vendor Management System For the purpose

... College is notified by the IRS of such, withholding taxes on subsequent payments may be a requirement. ...
capital ideas
capital ideas

... the company. In addition, paying a significant dividend allows capital to flow back to shareholders so that they can determine the best way to allocate it. The Equity Income strategy has a consistent long-term process that has generated significant alpha with top decile results over the last 3, 7, a ...
TED Spread
TED Spread

... The opinions voiced in this material are for general information only and are not intended to provide or be construed as providing specific investment advice or recommendations for any individual. To determine which investments may be appropriate for you, consult your financial advisor prior to inve ...
Document
Document

...  However, over the medium term, demand continues to outstrip supply in the housing market. As a result, house prices are likely to continue to increase, as is household indebtedness. This leaves the household sector and the wider economy more exposed to risks over a longer period of time than would ...
Accounting vs. Market-based Measures of Firm Performance
Accounting vs. Market-based Measures of Firm Performance

... 2013, Abu-Shanab, 2014 et al, 2014). However, it is known that no single measure of performance could fully account for all aspects of firm performance (Snow and Hrebiniak, 1980, Ibrahim et al., 2010; Abu-Shanab et al, 2015a; Masa’deh et al, 2015). Additionally, although firm performance has been as ...
On microscopes and telescopes
On microscopes and telescopes

... socio-economic systems. The efficiency of many of these networks relies on their hyper-connectivity. There are, in the language of economics, significantly increasing returns to scale and scope in a network industry. These returns increase with network connectivity (Goldin and Mariathason (2014)). T ...
The Equity Premium Stock and Bond Returns since 1802
The Equity Premium Stock and Bond Returns since 1802

... by the end of 1990. These series per cent per year over the entire are referred to as total return period. Although this can be inindexes, because they assume terpreted as the expected return that all cash flows, including interest and dividends as well as on stocks over a 12-month peany capital gai ...
The Role of Corporate Bonds for Finance in Austria
The Role of Corporate Bonds for Finance in Austria

... Nonfinancial corporations (S. 11) as defined in ESA 1995, i.e. all institutional units of the economy that are market producers whose principal activity is the production of goods and nonfinancial services. Consequently, bonds issued by banks or other financial institutions do not qualify as corpora ...
What Happened in Cyprus?
What Happened in Cyprus?

... remained stable at that point until 2012. On the other hand, total government expenditures increased from around 41% of GDP in 2008 to 46% of GDP in 2009 and stayed at that higher level until 2012, explaining the budget deficit, around one billion euros per year every year from 2009 onwards. Where ...
ÿþM i c r o s o f t   W o r d   - E L e N _ C e a c i L i a _ F u l l _ P
ÿþM i c r o s o f t W o r d - E L e N _ C e a c i L i a _ F u l l _ P

... The company not only responsible to the owners (shareholders), but more broadly, on social (stakeholders), hereinafter referred to social responsibility. This occurs because of the demands of society arising from negative externalities and the social inequality in society. Therefore, the responsibil ...
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Public finance

Public finance is the study of the role of the government in the economy. It is the branch of economics which assesses the government revenue and government expenditure of the public authorities and the adjustment of one or the other to achieve desirable effects and avoid undesirable ones.The purview of public finance is considered to be threefold: governmental effects on (1) efficient allocation of resources, (2) distribution of income, and (3) macroeconomic stabilization.
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