
press release
... The General Shareholders’ Ordinary Meeting, approved the proposed distribution of profits to distribute a cash dividend, for common and preferred shares, of Ps. 4.90 per share, per month payable during the first ten days of each month from April 2017 to March 2018, this because Grupo Aval migrated t ...
... The General Shareholders’ Ordinary Meeting, approved the proposed distribution of profits to distribute a cash dividend, for common and preferred shares, of Ps. 4.90 per share, per month payable during the first ten days of each month from April 2017 to March 2018, this because Grupo Aval migrated t ...
risk - Harvard Kennedy School
... Stiglitz: it may even bend backwards, due to rising risk of default. ...
... Stiglitz: it may even bend backwards, due to rising risk of default. ...
Earnings Release and Financial Statements Q1 FY 2016: Strong
... and Services activities Decline in Free cash flow from Industrial Business, to €68 million from €588 million in Q1 FY 2015, particularly including effects from timing of payments in large Mobility ...
... and Services activities Decline in Free cash flow from Industrial Business, to €68 million from €588 million in Q1 FY 2015, particularly including effects from timing of payments in large Mobility ...
Clean Tech - GreenWorld Capital, LLC
... that enables the investor to purchase a formula-based quantity of stock at set intervals of time at future stock prices. An effective registration statement must be maintained in order for take downs to be completed. ...
... that enables the investor to purchase a formula-based quantity of stock at set intervals of time at future stock prices. An effective registration statement must be maintained in order for take downs to be completed. ...
MathFinLec6 - United International College
... that borrows the funds for a defined period of time at a fixed interest rate. • Bonds are used by companies, municipalities, states and U.S. and foreign governments to finance a variety of projects and activities. • Bonds and stocks are both securities, but the major difference between the two is th ...
... that borrows the funds for a defined period of time at a fixed interest rate. • Bonds are used by companies, municipalities, states and U.S. and foreign governments to finance a variety of projects and activities. • Bonds and stocks are both securities, but the major difference between the two is th ...
Integrated Strategic Case Study
... joint venture using techniques learnt in P3, F3 and E3 (‘to influence people’) and potentially advise on managing the resulting change process using skills learnt in E3 (‘while leading within the organisation’) ...
... joint venture using techniques learnt in P3, F3 and E3 (‘to influence people’) and potentially advise on managing the resulting change process using skills learnt in E3 (‘while leading within the organisation’) ...
Shared Responsibility, Shared Risk
... America’s Unique—and Endangered—Framework of Economic Security We often assume that the United States does little to provide economic security compared with other rich democracies. This is only partly true. The United States does spend less on government benefits as a share of its economy, but it al ...
... America’s Unique—and Endangered—Framework of Economic Security We often assume that the United States does little to provide economic security compared with other rich democracies. This is only partly true. The United States does spend less on government benefits as a share of its economy, but it al ...
ASX SPI 200 ASX MINI SPI 200
... 200 Index, which comprises the top 200 listed stocks on the Australian sharemarket. The S&P/ASX 200 Index is recognised as the investable benchmark for the Australian equities market, covering approximately 80% of the market capitalisation of listed securities in Australia. ASX SPI 200 Futures are a ...
... 200 Index, which comprises the top 200 listed stocks on the Australian sharemarket. The S&P/ASX 200 Index is recognised as the investable benchmark for the Australian equities market, covering approximately 80% of the market capitalisation of listed securities in Australia. ASX SPI 200 Futures are a ...
Global Competitiveness Report 2011
... fairly healthy, despite a small increase in the government’s budget deficit. ...
... fairly healthy, despite a small increase in the government’s budget deficit. ...
closure rules, market power and risk-taking in a dynamic
... 130 per year between 1982 and 1991. The insolvencies and reorganizations of hundreds of savings and loan institutions (S&L) and a significant number of banking holding companies have inflicted enormous costs upon tax-payers. The public opinion is still astonished by the gravity of the crisis. While ...
... 130 per year between 1982 and 1991. The insolvencies and reorganizations of hundreds of savings and loan institutions (S&L) and a significant number of banking holding companies have inflicted enormous costs upon tax-payers. The public opinion is still astonished by the gravity of the crisis. While ...
Kenanga Global Opportunities Fund 13.4
... restore investor confidence. China is on the right track by changing their economy from an export led to a domestic led economy. We therefore expect GDP growth rates in emerging markets to be significantly higher than in developed markets for the foreseeable future. The main problem in the developed ...
... restore investor confidence. China is on the right track by changing their economy from an export led to a domestic led economy. We therefore expect GDP growth rates in emerging markets to be significantly higher than in developed markets for the foreseeable future. The main problem in the developed ...
A new approach to assessing risks to financial stability
... is clarity about its objectives. While the allocation of official sector responsibilities in the United Kingdom for maintaining financial stability is clearly set out in the tripartite Memorandum of Understanding between the Bank, FSA and HMT, there is no specific statement about how the stability o ...
... is clarity about its objectives. While the allocation of official sector responsibilities in the United Kingdom for maintaining financial stability is clearly set out in the tripartite Memorandum of Understanding between the Bank, FSA and HMT, there is no specific statement about how the stability o ...
Currency Board and Debt Trap: Evidence from Argentina and
... was absent from world capital markets, the government deficit, which at times reached two digits as a portion of GDP, had to be monetized. And when the country re-entered the markets, as it did in the late 1970s, external factors such as world interest rates fluctuations played a central role in tri ...
... was absent from world capital markets, the government deficit, which at times reached two digits as a portion of GDP, had to be monetized. And when the country re-entered the markets, as it did in the late 1970s, external factors such as world interest rates fluctuations played a central role in tri ...
Effects of Financial Globalization on Developing Countries
... There is some evidence of a “threshold effect” in the relationship between financial globalization and economic growth. The beneficial effects of financial globalization are more likely to be detected when the developing countries have a certain amount of absorptive capacity. Preliminary evidence al ...
... There is some evidence of a “threshold effect” in the relationship between financial globalization and economic growth. The beneficial effects of financial globalization are more likely to be detected when the developing countries have a certain amount of absorptive capacity. Preliminary evidence al ...
Form ADV Part 2A/2B Firm Brochure
... participation among employees and to improve investment and financial understanding by the employees. (ii) Assist in the education of the participants in the Plan about general investment principles and the investment alternatives available under the Plan. Client understands that Advisor’s assistanc ...
... participation among employees and to improve investment and financial understanding by the employees. (ii) Assist in the education of the participants in the Plan about general investment principles and the investment alternatives available under the Plan. Client understands that Advisor’s assistanc ...
Searching for Returns That Outpace Inflation.indd
... The National Association of Real Estate Investment Trusts (NAREIT) Equity Index is a market-value-weighted index based upon the last closing price of the month for tax-qualified REITs listed on the NYSE. S&P/LSTA Leveraged Loan Index (LLI) is a daily total return index that uses LSTA/LPC Mark-to-Mar ...
... The National Association of Real Estate Investment Trusts (NAREIT) Equity Index is a market-value-weighted index based upon the last closing price of the month for tax-qualified REITs listed on the NYSE. S&P/LSTA Leveraged Loan Index (LLI) is a daily total return index that uses LSTA/LPC Mark-to-Mar ...
Outlook 2016
... interest rates, which should be supportive of bond markets in the region. 3. An increasingly resurgent US economy and a eurozone that appears to be stabilising Asia is the manufacturing hub of the world. Even though numerous studies have suggested that global trade has reversed, a resurgent US and a ...
... interest rates, which should be supportive of bond markets in the region. 3. An increasingly resurgent US economy and a eurozone that appears to be stabilising Asia is the manufacturing hub of the world. Even though numerous studies have suggested that global trade has reversed, a resurgent US and a ...
Factors Affecting Bank Profitability in Pakistan
... The Banking sector acts as the life blood of modern trade and commerce to provide them with a major source of finance. This increasing phenomenon of globalization has made the concept of efficiency more important both for the non-financial and financial institutions and banks are the part of them. B ...
... The Banking sector acts as the life blood of modern trade and commerce to provide them with a major source of finance. This increasing phenomenon of globalization has made the concept of efficiency more important both for the non-financial and financial institutions and banks are the part of them. B ...
Market liquidity and stress - Bank for International Settlements
... The loose and general notion of “liquidity” is closely related to cash liquidity. Often, market commentators make statements such as “ample liquidity is boosting asset prices”. One way of interpreting this is that market participants have sizeable liquid funds to invest, either because the share of ...
... The loose and general notion of “liquidity” is closely related to cash liquidity. Often, market commentators make statements such as “ample liquidity is boosting asset prices”. One way of interpreting this is that market participants have sizeable liquid funds to invest, either because the share of ...
Financialization

Financialization is a term sometimes used in discussions of the financial capitalism that has developed over the decades between 1980 and 2010, in which financial leverage tended to override capital (equity), and financial markets tended to dominate over the traditional industrial economy and agricultural economics.Financialization describes an economic system or process that attempts to reduce all value that is exchanged (whether tangible or intangible, future or present promises, etc.) into a financial instrument. The intent of financialization is to be able to reduce any work product or service to an exchangeable financial instrument, like currency, and thus make it easier for people to trade these financial instruments.Workers, through a financial instrument such as a mortgage, may trade their promise of future work or wages for a home. The financialization of risk sharing is what makes possible all insurance. The financialization of a government's promises (e.g., US government bonds) is what makes possible all government deficit spending. Financialization also makes economic rents possible.