2G Energy AG Annual Report
... for the financial year elapsed (previous year: EUR 0.37 per share). With this first increase in the dividend, the Management Board wishes to signal the strength of As of May 9, 2017 ...
... for the financial year elapsed (previous year: EUR 0.37 per share). With this first increase in the dividend, the Management Board wishes to signal the strength of As of May 9, 2017 ...
F D I
... FDI thus also belongs in the toolkit for poverty reduction in countries where simple reliance on “trickle down” does not work. Protecting the poor from bad investment decisions and financial volatility. While foreign investment can be critical for rapid growth, critics fear that the gains from produ ...
... FDI thus also belongs in the toolkit for poverty reduction in countries where simple reliance on “trickle down” does not work. Protecting the poor from bad investment decisions and financial volatility. While foreign investment can be critical for rapid growth, critics fear that the gains from produ ...
Adopting Enterprise Risk Management (ERM) in high
... As risks become transparent, measurable and manageable, Trust Re’s performance profits from lower volatility and a greater resilience. At the same time, policyholders are set to benefit from more adequate, risk-based pricing and a lower counterparty risk, while rating agencies and regulators feel mo ...
... As risks become transparent, measurable and manageable, Trust Re’s performance profits from lower volatility and a greater resilience. At the same time, policyholders are set to benefit from more adequate, risk-based pricing and a lower counterparty risk, while rating agencies and regulators feel mo ...
Common KIM Old File January 2017.cdr
... moderately high risk FUND OF FUNDS SCHEMES This product is suitable for investors who are seeking*: returns in line with performance of Birla Sun Life Gold ETF (BSL GETF) over long term investments predominantly in units of Birla Sun Life Gold ETF BSL GETF invests in physical gold of 99.5% purity (f ...
... moderately high risk FUND OF FUNDS SCHEMES This product is suitable for investors who are seeking*: returns in line with performance of Birla Sun Life Gold ETF (BSL GETF) over long term investments predominantly in units of Birla Sun Life Gold ETF BSL GETF invests in physical gold of 99.5% purity (f ...
Building our Industrial Strategy: green paper
... Industrial strategy can mean many different things. In the 1970s, industrial strategy became synonymous in Britain with the failures of nationalised industries like British Leyland, ...
... Industrial strategy can mean many different things. In the 1970s, industrial strategy became synonymous in Britain with the failures of nationalised industries like British Leyland, ...
mmi11 DeNicolo 15074636 en
... literature. We find strong evidence of advances in financial integration worldwide, in both advanced and emerging market economies, with such advances proceeding at the fastest pace in emerging markets countries. We then assess the predictive power of financial integration and globalization for grow ...
... literature. We find strong evidence of advances in financial integration worldwide, in both advanced and emerging market economies, with such advances proceeding at the fastest pace in emerging markets countries. We then assess the predictive power of financial integration and globalization for grow ...
Strategies of Modern Statistics
... • 2000 – solvable but still poor predictors • 1963 – The “Butterfly Effect” small changes in initial conditions -> large short term effects • today – ensemble forecasting see p 173 • Rupert Miller p 178 – stats for short term … ...
... • 2000 – solvable but still poor predictors • 1963 – The “Butterfly Effect” small changes in initial conditions -> large short term effects • today – ensemble forecasting see p 173 • Rupert Miller p 178 – stats for short term … ...
Calculating the Equity Risk Premium and the Risk
... Consistency between the ERP and the risk-free rate One basic issue in the choice of the bond duration is the need for consistency between the choice of ERP and the risk-free rate. The ERP is a premium over some bond – usually either a long-term or a short-term bond. 8 As we see from the yield-curve ...
... Consistency between the ERP and the risk-free rate One basic issue in the choice of the bond duration is the need for consistency between the choice of ERP and the risk-free rate. The ERP is a premium over some bond – usually either a long-term or a short-term bond. 8 As we see from the yield-curve ...
NBER WORKING PAPER SERIES CAPITAL STRUCTURE WITH RISKY FOREIGN INVESTMENT Mihir A. Desai
... and to serve customers through exports from the United States rather than produce locally. Multinational firms alter both financial and operating decisions to hedge their exposures in politically risky markets. Parent companies exposed to significant foreign political risks are also shown to use les ...
... and to serve customers through exports from the United States rather than produce locally. Multinational firms alter both financial and operating decisions to hedge their exposures in politically risky markets. Parent companies exposed to significant foreign political risks are also shown to use les ...
Chapter 12
... – If you are older, the average remaining life of the investment is relatively short, and there is a larger probability that an investment in the risky security will result in a loss – This is not serious if you have substantial assets, in which case you can afford to take the risk, and enjoy higher ...
... – If you are older, the average remaining life of the investment is relatively short, and there is a larger probability that an investment in the risky security will result in a loss – This is not serious if you have substantial assets, in which case you can afford to take the risk, and enjoy higher ...
NBER WORKING PAPER SERIES SOCIAL SECURITY AND TRUST FUND MANAGEMENT Takashi Oshio
... examines how the social security policy should respond to demographic shocks by comparing use of the trust fund and adjustment of the tax rate. ...
... examines how the social security policy should respond to demographic shocks by comparing use of the trust fund and adjustment of the tax rate. ...
1 VALUING PRIVATE FIRMS So far in this book, we
... If we choose to value equity, we discount cashflows to equity at the cost of equity, whereas if we choose to value the firm, we discount cashflows at the cost of capital. While the fundamental definitions of these costs have not changed, the process of estimating them may have to be changed given th ...
... If we choose to value equity, we discount cashflows to equity at the cost of equity, whereas if we choose to value the firm, we discount cashflows at the cost of capital. While the fundamental definitions of these costs have not changed, the process of estimating them may have to be changed given th ...
NBER VOLUNTARY WELFARE RESEARCH
... In other cases forgiveness may or may not serve the interest of creditors. When it is in the collective interest of creditors to provide debt reduction, however, the prospects for forgiveness may hinge on the degree of cooperation among them. ...
... In other cases forgiveness may or may not serve the interest of creditors. When it is in the collective interest of creditors to provide debt reduction, however, the prospects for forgiveness may hinge on the degree of cooperation among them. ...
ETF Trading and Execution in the European MarketsPDF
... post-trade requirements as other exchange traded instruments, such as equities, and in most markets there is no requirement for executed trades to be reported. In terms of pre-trade work, one benefit ETF investors currently do not have is a consolidated European order book. This means that investors ...
... post-trade requirements as other exchange traded instruments, such as equities, and in most markets there is no requirement for executed trades to be reported. In terms of pre-trade work, one benefit ETF investors currently do not have is a consolidated European order book. This means that investors ...
(ETFs) and Corporate Bond Liquidity Abstract
... Since the credit crunch during the financial crisis of 2008, the issue of corporate bond market liquidity has caught the attention of academics and policy-makers alike. In addition to this, the rising popularity of different basket securities for bonds is also raising new concerns regarding their po ...
... Since the credit crunch during the financial crisis of 2008, the issue of corporate bond market liquidity has caught the attention of academics and policy-makers alike. In addition to this, the rising popularity of different basket securities for bonds is also raising new concerns regarding their po ...
Canadian Real Estate Inflation
... it is a good time to re-assess the historical evidence for holding real estate as an inflation hedge. Various international studies have tested the relationship between real estate returns and inflation. In the U.S., Hartzell, Hekman and Miles (1987), Wurtzebach, Mueller and Machi (1991), Miles and ...
... it is a good time to re-assess the historical evidence for holding real estate as an inflation hedge. Various international studies have tested the relationship between real estate returns and inflation. In the U.S., Hartzell, Hekman and Miles (1987), Wurtzebach, Mueller and Machi (1991), Miles and ...
Evolutionary Theory, Kinship, and Childbirth in Cross
... Third, we explore birth-related investments from a Darwinian perspective, especially how paternal certainty and sex-specific reproductive strategies shape investments by kin. From a Darwinian perspective, investments by kin around the time of birth are particularly important. “Individual and inclusi ...
... Third, we explore birth-related investments from a Darwinian perspective, especially how paternal certainty and sex-specific reproductive strategies shape investments by kin. From a Darwinian perspective, investments by kin around the time of birth are particularly important. “Individual and inclusi ...
Canadian Real Estate Magazine September 2011
... millions of dollars into the local economy and have created a new culture in the city’s downtown. Currently, Laurier Brantford University is completing a $52-million research and academic centre slated for completion later this year. In fact, the total economic benefit from these institutional inves ...
... millions of dollars into the local economy and have created a new culture in the city’s downtown. Currently, Laurier Brantford University is completing a $52-million research and academic centre slated for completion later this year. In fact, the total economic benefit from these institutional inves ...
Working Papers Center for International Development at Harvard University
... the composition of capital flows impacts economic development in ways that go beyond its effect on the propensity for a currency crisis. Indeed, many would argue that attracting FDI as opposed to international bank loans or portfolio investment is a more useful way to transfer technology and manage ...
... the composition of capital flows impacts economic development in ways that go beyond its effect on the propensity for a currency crisis. Indeed, many would argue that attracting FDI as opposed to international bank loans or portfolio investment is a more useful way to transfer technology and manage ...
safety focus on leading indicators
... lagging indicators will not drive further safety improvements. An EXCO decision has been taken to adopt a more daring approach, and focus on leading indicators and predictive analysis in our journey towards zero harm. The ICMM Leading Indicator Guideline defines and re-iterates: ‘With the well-being ...
... lagging indicators will not drive further safety improvements. An EXCO decision has been taken to adopt a more daring approach, and focus on leading indicators and predictive analysis in our journey towards zero harm. The ICMM Leading Indicator Guideline defines and re-iterates: ‘With the well-being ...
The Effects of Unrecorded Assets and Information
... In this study, we contend that when considering companies with varying characteristics, because the level of changes in expected future earnings differs, the level of disclosure required by investors also differs. Therefore, the effects that the level of disclosure has on the correlations between cu ...
... In this study, we contend that when considering companies with varying characteristics, because the level of changes in expected future earnings differs, the level of disclosure required by investors also differs. Therefore, the effects that the level of disclosure has on the correlations between cu ...
compliance function
... though the position in the organization may vary, the compliance function should have the possibility to report directly to senior management, ideally to the CEO. The compliance function should report to the board at least annually, and on other occasions, as required. People working in and with res ...
... though the position in the organization may vary, the compliance function should have the possibility to report directly to senior management, ideally to the CEO. The compliance function should report to the board at least annually, and on other occasions, as required. People working in and with res ...
Washington Mutual – largest bank failure in US history
... * CDs are FDIC insured up to $250,000 through 12/31/2009, offer a fixed rate of return, and are not subject to market volatility. Equity investments are subject to market volatility and have greater risk than CDs and other cash investments. 1 Continuous or periodic investment plans neither assure a ...
... * CDs are FDIC insured up to $250,000 through 12/31/2009, offer a fixed rate of return, and are not subject to market volatility. Equity investments are subject to market volatility and have greater risk than CDs and other cash investments. 1 Continuous or periodic investment plans neither assure a ...
german government panel on corporate governance
... The federal government will immediately act on the Panel's central proposal by appointing a group of experts to draft and continuously improve a Code of Corporate Governance, as well as by creating the legal framework for this new, flexible instrument. In accordance with the principle of "comply or ...
... The federal government will immediately act on the Panel's central proposal by appointing a group of experts to draft and continuously improve a Code of Corporate Governance, as well as by creating the legal framework for this new, flexible instrument. In accordance with the principle of "comply or ...
Do Market Efficiency Measures Yield Correct Inferences?
... U.S. and U.K., have some of the lowest trading costs, while smaller emerging markets have some of the highest. For similar-sized large and medium cap firms, LOT trading costs are nearly twice as large in the typical emerging market. Moreover, for most size quintiles, trading costs have decreased dra ...
... U.S. and U.K., have some of the lowest trading costs, while smaller emerging markets have some of the highest. For similar-sized large and medium cap firms, LOT trading costs are nearly twice as large in the typical emerging market. Moreover, for most size quintiles, trading costs have decreased dra ...