Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
Maak betere financiële beslissingen met boeken die complexe cijfers omzetten in heldere inzichten. Van begrotingen en jaarrekeningen tot strategisch financieel beleid: vergroot je financiële slagkracht en versterk de basis voor groei, winst en continuïteit.
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As one of the first texts to take a behavioral approach to macroeconomic expectations, this book introduces a new way of doing economics. Rötheli uses cognitive psychology in a bottom-up method of modeling macroeconomic expectations. Meer
The fourth edition of Cost-Benefit Analysis is an authoritative, market-leading textbook that provides a practical introduction to cost-benefit analysis through problem solving. Meer
In Blockchain Regulation and Governance in Europe, Michèle Finck examines the relationship between blockchain technology and EU law and introduces the theme of blockchain governance. Meer
Detailed guidance on the mathematics behind equity derivatives
Problems and Solutions in Mathematical Finance Volume II is an innovative reference for quantitative practitioners and students, providing guidance through a range of mathematical problems encountered in the finance industry. Meer
Mathematical finance requires the use of advanced mathematical techniques drawn from the theory of probability, stochastic processes and stochastic differential equations. Meer
Negotiate commercial leases and renewals like a pro
Renting space for businesses and navigating a commercial lease can be a daunting task for those without expertise, as errors or oversights can cost thousands of dollars. Meer
An accessible beginner s guide to the fundamentals of audit and assurance
Audit and assurance is a basic and vital aspect of the financial world and a key element of all professional accountancy programs. Meer
A comprehensive introduction to various numerical methods used in computational finance today
Quantitative skills are a prerequisite for anyone working in finance or beginning a career in the field, as well as risk managers. Meer
A comprehensive guide to financial planning and venture fundraising for tech entrepreneurs
As technology progresses, impacting our daily lives in more and greater ways, technology start–ups come and go at a dizzying pace. Meer
A guide to the implementation and interpretation of Quantile Regression models
This book explores the theory and numerous applications of quantile regression, offering empirical data analysis as well as the software tools to implement the methods. Meer
Equity strategies are closely guarded secrets and as such, there is very little written about how investors and corporate can utilise equity vehicles as part of their growth strategies. Meer
Add value to your organization via the mergers & acquisitions IT function
As part of Deloitte Consulting, one of the largest mergers and acquisitions (M&A) consulting practice in the world, author Janice Roehl–Anderson reveals in M&A Information Technology Best Practices how companies can effectively and efficiently address the IT aspects of mergers, acquisitions, and divestitures. Meer
Learn the secrets to using analytics to grow your business
Analytics continues to trend as one of the hottest topics in the business community today. Meer
Shortlisted for International Affairs Book of the Year in the Paddy Power Political Book Awards 2014
Angela Merkel was already unique when she became German chancellor: the first female leader of Europe s biggest economy, the first from former communist East Germany and the first born after World War II. Meer
A fully up–to–date, cutting–edge guide to the measurement and management of liquidity risk
Written for front and middle office risk management and quantitative practitioners, this book provides the ground–level knowledge, tools, and techniques for effective liquidity risk management. Meer
This comprehensive reference delivers a toolkit for harvesting market rewards from a wide range of investments. Written by a world–renowned industry expert, the reference discusses how to forecast returns under different parameters. Meer
Written by a group of international experts, this book focuses on three interdependent themes: (a) origins and consequences of the current debt crisis; (b) the systemic nature of the crisis; (c) national and international policy efforts to avoid a global collapse and bring about lasting reforms in the Euro zone and in the financial system. Meer
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