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Accounting Quality and Catastrophic Market Events.
Accounting Quality and Catastrophic Market Events.

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Ambac Presentation

... developments; (5) changes in tax laws; (6) changes in our business plan, including changes resulting from our decision to discontinue writing new business in the financial services area, to significantly reduce new underwriting of structured finance business and to discontinue all new underwritings ...
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... of this instrument and its impact on the process of capital accumulation. However, some exploratory texts consider derivatives a central variable to economic dynamics, such as Bryan and Rafferty (2006), Lipuma and Lee (2005), Blackburn (2006), and McKenzie (2011).1 This study aims to advance the dis ...
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research on market efficiency - Securities Class Action Clearinghouse

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... Since the early 1980s, the ratio of domestic government debt to gross domestic product (GDP) in Nigeria has risen sharply. By 1964, the level of domestic debt was 5.5 percent of GDP. A decade later (by 1974), this ratio went up slightly to 6.9 percent of GDP. But by 1984, the domestic debt /GDP rati ...
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News Release Issued on behalf of Reed Elsevier PLC and Reed

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... market countries, driven by rising savings and collapsing investment in the aftermath of the financial crisis, that is the direct cause of the U.S. current account deficit. Therefore, the long term solution is to encourage developing countries, especially those in the East Asian region, to develop ...
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Challenges arising from alternative investment management

... can basically identify four major investment styles, of which there are numerous variations. – Long/short strategies involve taking simultaneously short and long positions in different securities, some considered undervalued and others overvalued on the basis of a fundamental or technical analysis, ...
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... which is integrated with the other sectors and sub-sectors of the economy and with general government non-financial operations; therefore, they serve as a global framework of reference for analysing general government financial activity as a whole. This publication takes the broadest possible concep ...
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Return migration, uncertainty and precautionary savings

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Annual Report 2014 - Smartgroup Investors

... to providing the best customer service has grown the business to employ over 340 employees and manage over 118,000 salary packages for some of Australia’s largest employers in the Government and corporate sectors. It gives me great pleasure to report a record result for our business. For the year en ...
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INTEGRATED ANNUAL REPORT 2015 - New Frontier

... Materiality has been applied in determining the content and disclosure in the report, ensuring the report is both concise and relevant to New Frontier’s shareholders. Material issues are considered to be those that could affect the Company’s ability to create value over time and are likely to have a ...
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... depositing it in a bank, and is a sure way to not make money. Depositing your cash into an FDIC insured bank account is the safest investment that you can make — the only risk of loss would be to an extreme national calamity. However, a bank account generally will yield a lower return on your invest ...
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Systemic risk

In finance, systemic risk is the risk of collapse of an entire financial system or entire market, as opposed to risk associated with any one individual entity, group or component of a system, that can be contained therein without harming the entire system. It can be defined as ""financial system instability, potentially catastrophic, caused or exacerbated by idiosyncratic events or conditions in financial intermediaries"". It refers to the risks imposed by interlinkages and interdependencies in a system or market, where the failure of a single entity or cluster of entities can cause a cascading failure, which could potentially bankrupt or bring down the entire system or market. It is also sometimes erroneously referred to as ""systematic risk"".
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