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.
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This book shows how strategic management can be practiced in the context of flexibility. It discusses strategic formulation and implementation perspectives and practices, including vision and mission, general environment analysis, industry analysis, competitive advantage, resource and capability view, generic strategies, business level strategy, corporate level strategy, international strategy, change and turnaround, strategic implementation, and strategic controls, as well as flexibility embedded in these concepts. Meer
This book is open access under a CC BY-NC-ND 4.0 license.
This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. Meer
This book is open access under a CC BY-NC-ND 4.0 license.
This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. Meer
This Pivot proposes an integrated approach to facilitate competency development in a more comprehensive way. It examines this approach in the important but seldom studied context of risk management in banks. Meer
This book investigates the factors that lead to slip and fall incidents and establishes a relationship between the coefficient of friction (COF), floor slipperiness and floor roughness. Meer
This book is the modern first treatment of experimental designs, providing a comprehensive introduction to the interrelationship between the theory of optimal designs and the theory of cubature formulas in numerical analysis. Meer
This book proposes three normative frameworks pertaining to risk-measurement, disclosure and governance using expert opinion and data from the top 429 non-financial companies (of the NIFTY 500 index) over a 10-year period. Meer
This book proposes three normative frameworks pertaining to risk-measurement, disclosure and governance using expert opinion and data from the top 429 non-financial companies (of the NIFTY 500 index) over a 10-year period. Meer
This book argues that the proliferation of global trade and the increasing power of free trade arrangements leave income taxes as one of the few remaining measures that can potentially be used for protectionist purposes. Meer
This book is an easily accessible and comprehensive guide which helps make sound statistical decisions, perform analyses, and interpret the results quickly using Stata. Meer
This book introduces a number of new sampling plans, such as time truncated life tests, skip sampling plans, resubmitted plans, mixed sampling plans, sampling plans based on the process capability index and plans for big data, which can be used for testing and inspecting products, from the raw-materials stage to the final product, in every industry using statistical process control techniques. Meer
This book discusses the need to carefully and prudently apply various regression techniques in order to obtain the full benefits. It also describes some of the techniques developed and used by the authors, presenting their innovative ideas regarding the formulation and estimation of regression decomposition models, hidden Markov chain, and the contribution of regressors in the set-theoretic approach, calorie poverty rate, and aggregate growth rate. Meer
This book describes recently developed mathematical models, methodologies, and case studies in diverse areas, including stock market analysis, portfolio optimization, classification techniques in economics, supply chain optimization, development of e-commerce applications, etc. Meer
The book portrays the scope and dimension of different financial inclusion strategies. It looks at the role and potential of banks involved in financial inclusion. Meer
Provides a description of the fixed income derivatives business from a practitioner's point of view. With an overview of fixed income derivatives products and with particular emphasis on the concrete usage of mathematical models, this book is useful for anyone considering a career in derivatives either as a trader, a quant or a structurer. Meer
Cross-border banking, while having the potential for a more efficient financial sector, also creates potential challenges for bank supervisors and regulators. Meer
Presents a discussion of the issues related to risk, volatility, value and risk management. This book examines ways to manage risk and compute value-at-risk for exchange risk associated to debt portfolios and portfolios of equity. Meer
The book compiles a comprehensive set of case of studies in business and accounting from the MENA region. These case studies consist of practical research studies with strong theoretical foundations. Meer
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