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Audit Committee
Audit Committee

... Limited share of private foreign currency debt 13.0% for private sector (in 7/2011, both residents and non residents)  17.4% for corporate, 0.14% for households (residents only) export-oriented corporates as main users  150% coverage ratio by foreign currency deposits (res. only) ...
The ups and downs of high- yield bonds
The ups and downs of high- yield bonds

... have remained low. Oil prices have recovered somewhat over the last few months. In December, as bond prices fell, yields rose, because yield – or the amount of income per dollar of market value – rises as the price of a bond falls. A more dovish tone from the Federal Reserve on its timing for intere ...
1 - CSUN.edu
1 - CSUN.edu

... euro, as well as from an appreciation of the dollar value of Microsoft shares. The profit in euro terms is about C2,100, and the rate of return is about 21% in euro terms, of which 8.5% is due to the exchange rate movement. 4. Japan Life Insurance Company invested $10,000,000 in pure-discount U.S. b ...
Exam 1 2008
Exam 1 2008

... (say something about each component). ...
FINAL EXAM—REVIEW SHEET (This sheet, while not all inclusive
FINAL EXAM—REVIEW SHEET (This sheet, while not all inclusive

... internal rate of return (IRR) for a capital budgeting project. Understand what the result for each computation means. For example, what does it mean if you find a project has an IRR equal to 14 percent? If NPV > 0, what is the relationship between the firm’s required rate of return and the project’s ...
F. Peter Boer[*] - Tiger Scientific Inc
F. Peter Boer[*] - Tiger Scientific Inc

... needs the combination of R&D and physical capital to earn an economic return! In other words, state-of-the-art new plants are still commodities. Only those investments incorporating proprietary technology (or which have an otherwise “unfair” advantage) can earn a competitive edge. It seems those who ...
DOC - Europa.eu
DOC - Europa.eu

... approach of EU Member States’ audit requirements. According to the SarbanesOxley Act all US-listed companies must assess and vouch for the effectiveness of their internal control mechanisms. The Chairman of the SEC, William Donaldson, has now postponed the date of application for foreign issuers. Th ...
RRF 320.2: Equity Securities Held Instruction Guide
RRF 320.2: Equity Securities Held Instruction Guide

... Closing balances should be reported at market price effective at the reference date. Where denominated in foreign currency stock market values in foreign currency should be converted to AUD at the spot rate effective as at the reference date. For holdings of shares in unlisted companies, if a market ...
Another bail- out for Greece
Another bail- out for Greece

... Elsewhere, the Chancellor showed his commitment to peer-topeer (P2P) lending with the creation of an ‘innovative finance ISA’. According to the Budget document: “The Government will introduce the innovative finance ISA for loans arranged via a P2P platform, from 6 April 2016, and has today published ...
click here - Voyager2.DVC.edu
click here - Voyager2.DVC.edu

... architectural firms. Make a stemplot of the staff counts. What are the main features of the shape of this distribution. 1.12 Yields of Treasury bills. Treasury bills are short-term borrowing by the U.S. government. They are important in financial theory because the interest rate for Treasury bills i ...
Resource Misallocation - Illinois State University
Resource Misallocation - Illinois State University

... should pay the costs intergenerationally?  To obtain investors, firms must be able to capture some return of their capital investments. Otherwise, there would be no incentive to invest  Some argue that demand is on the increasing side of the AC curve ...
PPT
PPT

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pricefloorCeiling

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TELUS Forward Looking Statement Today`s answers
TELUS Forward Looking Statement Today`s answers

... 2013, and CEO three year goals for EPS and free cash flow growth to 2013) referred to in the Management’s discussion and analysis in the 2010 annual report, and in the 2011 quarterly reports. In addition, there can be no assurance that the proposal for shareholders to eliminate the Company’s Non-Vot ...
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On the Importance of Text Analysis for Stock Price
On the Importance of Text Analysis for Stock Price

... • Our data: company report (short term) • Their data: news article (longer term) • News articles reflect not only new information, but also the perspectives and opinions of third parties • Hypothesis: the market is highly sensitive to company reports in the short term, but more sensitive to third pa ...
European Business School London Regents College
European Business School London Regents College

... Links between financial companies and industrial companies Weak financial institution/sector used to be supported by the states In the Korean financial sector, activities were strictly segmented by function ...
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Slide 1

... contraction, the results of monetary policy were highly uncertain whereas fiscal policy was likely to be potent.” Lawrence Summers, July 19, 2009 ...
PricingNotes
PricingNotes

... Mark down is when a store will price an item for less money than it cost to buy. WHY? Because the store owner wants to MOVE all goods and merchandise especially if the items are just sitting around and taking up shelf space. This shelf space could be put to better use for new products. Also, mark do ...
Explanation regarding Agenda item 1 according to § 124a sentence
Explanation regarding Agenda item 1 according to § 124a sentence

... On Agenda item 1 (Presentation of the approved Annual Financial Statements and the approved Consolidated Financial Statements as of December 31, 2015, and of the Management Reports for Allianz SE and for the Group, the Explanatory Reports on the information pursuant to §§ 289 (4) and 315 (4) of the ...
Some Financial Stability Implications of Local Bond Markets
Some Financial Stability Implications of Local Bond Markets

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1. The primary operating goal of a publicly
1. The primary operating goal of a publicly

delta-gamma-theta hedging of crude oil asian options
delta-gamma-theta hedging of crude oil asian options

... pricing, because they can better reflect the nature of stock price movements (Bayraktar, 2010). Investment strategies in particular assets could be hedged with Asian options or they can be used for direct investment. Lévy’s models with jump processes were considered as effective possibility for static ...
BA 275, Fall 1998 Quantitative Business Methods
BA 275, Fall 1998 Quantitative Business Methods

... numerical result from a random experiment. ...
How the Market Works… and What It Means for Your Portfolio
How the Market Works… and What It Means for Your Portfolio

< 1 ... 339 340 341 342 343 344 345 346 347 ... 409 >

Financial economics

Financial economics is the branch of economics characterized by a ""concentration on monetary activities"", in which ""money of one type or another is likely to appear on both sides of a trade"". Its concern is thus the interrelation of financial variables, such as prices, interest rates and shares, as opposed to those concerning the real economy. It has two main areas of focus: asset pricing (or ""investment theory"") and corporate finance; the first being the perspective of providers of capital and the second of users of capital.The subject is concerned with ""the allocation and deployment of economic resources, both spatially and across time, in an uncertain environment"". It therefore centers on decision making under uncertainty in the context of the financial markets, and the resultant economic and financial models and principles, and is concerned with deriving testable or policy implications from acceptable assumptions. It is built on the foundations of microeconomics and decision theory.Financial econometrics is the branch of financial economics that uses econometric techniques to parameterise these relationships. Mathematical finance is related in that it will derive and extend the mathematical or numerical models suggested by financial economics. Note though that the emphasis there is mathematical consistency, as opposed to compatibility with economic theory.Financial economics is usually taught at the postgraduate level; see Master of Financial Economics. Recently, specialist undergraduate degrees are offered in the discipline.Note that this article provides an overview and survey of the field: for derivations and more technical discussion, see the specific articles linked.
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