Search Results - debt (financing OR financial)

Refine Results
  1. 1

    Tanzania debt portfolio review

    Published 1995
    Book
  2. 2

    Sovereign debt restructuring and debt sustainability : an analysis of recent cross-country experience / by Finger, Harald

    Published 2007
    Subjects: “…Debt relief Developing countries.…”
    Get full text
    Book
  3. 3

    Introductionto accounting : an integrated approach by Introduction to accounting

    Published 2000
    Subjects:
    Book
  4. 4
  5. 5

    How corporate and municipal debt is rated : an inside look at Standard & Poor's rating system by Sherwood Hugh C.

    Published 1976
    Book
  6. 6
  7. 7

    Debt or equity? : how firms in developing countries choose / by Glen, Jack D.

    Published 1994
    Book
  8. 8

    The Changing environment of international financial markets : issues and analysis /

    Published 1994
    Table of Contents: “…Preface - Notes on the Contributors - PART 1: INTRODUCTION - Introduction; D.K.Ghosh & E.Ortiz - PART 2: EXCHANGE RATES MARKETS - Foreign Exchange Market Efficiency: A Look at London; J.P.Lajaunie, B.L.McManis & A.Naka - Freedom of Free Floating Exchange Rate: Empirical Analysis of Currency Fluctuation Patterns; M.A.Hashmi - PART 3: INTERNATIONAL INTEREST RATES - Statistical Analytical of Eurocurrency and Treasury Interest Rates from 1975 to 1991; C.Maxwell & L.Guin - A Cross-Country Comparison of Consumer Discount Rates; W.V.Weber, J.K.William & M.J.Morey - Interest Rate Parity, Covered Interest Arbitrage and Speculation under Market Imperfection; D.K.Ghosh - PART 4: BALANCE OF PAYMENTS AND INTERNATIONAL RESERVES - An Empirical Test on the Demand for International Reserves; A.N.Islam, M.Khan & M.M.Islam - The United States Current Account Deficit and Net Capital Inflow; E.Y.Lee & M.Szenberg - Balance of Payments Implications of the USSR for its Former Republics and the East European Countries; M.R.Zaman - PART 5: FOREIGN DEBT AND COUNTRY RISK ANALYSIS - Foreign Exchange Dynamics, Debt, and the Peso Problem; D.K.Ghosh - International Lending and Sovereign Debt in the Presence of Agency Costs: The Case of Mexico State University C.A.Erickson & E.Willman - A New Look at Country Risk Analysis: An Analytical Approach to Judgmental Risk Scoring; R.S.Koundinya - Political Risk in Latin American Stock Markets: A Rational Expectations Approach; B.Charmichael, J-C.Cosset & K.P.Fischer - PART 6: CAPITAL MARKETS - A Real Return Test of International Market Efficiency; S.Khaksari & N.Seitz - Risk Management and Corporate Governance in Imperfect Capital Markets; K.P.Fischer, E.Ortiz & A.P.Palasvirta - Structural Changes in the Korean Financial Market; J.Poznanska - An Analysis of Equity Markets of Quotation Systems; G.Duteil & A.Mulugetta - PART 7: TAXES, DISTORTIONS AND INTERNATIONAL BANKING - Economic Integration and Mexican Municipal Finances; A.Cabello - Optimum Distortions in Closed and Open Economies: Some Aspects of the Theory of Second Best; D.K.Ghosh & S.Ghosh - Socio-History of French Banks and Banking: Role Model for Global Banking; I.Finel-Honigman - Offshore Banking Centers: Prospects and Issues; E.N.Roussakis, K.Dandapani & A.J.Prakash - Index…”
    Book
  9. 9
  10. 10

    Institutional framework for public sector borrowing

    Published 2002
    Subjects: “…Debt negotiations…”
    Book
  11. 11

    The Recovery of Debts due to Banks and Financial Institutions Act, 1993 by Narayana, P. S.

    Published 1999
    Book
  12. 12
  13. 13

    Your money or your life! : the tyranny of global finance / by Toussaint, Eric

    Published 1999
    Book
  14. 14
  15. 15

    Public sector financial management / by Coombs, Hugh M.

    Published 1991
    Table of Contents: “…Part 7 The financing of capital expenditure: the central objective in capital financing; revenue financing; financing by borrowing; financing from reserves; lease finance; capital expenditure controls. …”
    Book
  16. 16

    RESEARCH FOR ACTION: THE WORLD ECONOMIC AND FINANCIAL CRISIS by Furtado, C

    Published 1989
    Book
  17. 17

    The "building blocks" of effective government debt management : / paper written following a UNITAR sub-regional workshop on effective national debt management for Eastern and South... by Horgan, Michael

    Published 1999
    “…Unitar training programmes in the legal aspects of debt and financial management…”
    Book
  18. 18

    The "building blocks" of effective government debt management : / paper written following a UNITAR sub-regional workshop on effective national debt management for Eastern and South... by Horgan, Michael

    Published 1999
    “…Unitar training programmes in the legal aspects of debt and financial management…”
    Book
  19. 19

    Interest rates, the markets, and the new financial world by Kaufman, Henry

    Published 1986
    Table of Contents: “…Part 1 Introduction: from Wenings to Wall Street. Part 2 Financial markets: financial markets yesterday and today - interest-rate differences, the institutional credit structure, volatility and monetarism, the budget deficit; dangers in the rapid growth of debt - rapid debt growth, danger signals, forces that encourage credit expansion, policy proposals; the integrity of credit - credit without a guardian, the proper role of financial institutions, the role of government; a disregard for capital - manifestations of the desregard for capital, social claims, defenders of capital; ferment in financial institutions - regulation deregulation, financial innovation, financial institutions are unique, managing risk; international financial problems - laissez faire, official intervention, international cooperation, fixed versus floating exchange rates; banking in changing world credit markets - banking growth, growth of euromarkets, banking linkages and innovations, the freeing of markets; the equity market over the long term - growth of the equity market, the emerging global equity market, the growth of proxy instruments, the expanding role of the institutional investor, a more demanding role for securities dealers, new challenges for investment decision makers; fallen financial dogmas and beliefs - high real interest rates encourage substantial increases in savings, high real interest rates discourage economic recovery, financial deregulation lowers the general level of interest rates, credit quality is constant in our financial system, the growth of debt is closely linked to growth in nominal gross national product, a nation's large trade deficit weakens its currency in foreign exchange markets, fiscal policy can be a flexible anticyclical tool and, combined with monetary, can prolong economic expansion and limit economic and financial excesses. …”
    Book
  20. 20

    International finance / by Pilbeam, Keith

    Published 2013
    Table of Contents: “…Balance of payments theory and policy -- The foreign exchange market -- The balance of payments -- Elasticity and absorption approaches to the balance of payments -- Macroeconomic policy in an open economy -- The monetary approach to the balance of payments -- Exchange rate determination: theory, evidence and policy -- Purchasing power parity and floating exchange rate experience -- Modern models of exchange rate determination -- The portfolio balance model -- Empirical evidence on exchange rates -- Fixed, floating and managed exchange rates -- The post-war international monetary system -- The international monetary system -- The eurocurrency and eurobond markets -- Currency derivatives: futures, options and swaps -- International macroeconomic policy coordination -- The latin american debt crisis -- The european monetary system and European monetary union -- Currency crises and the East Asian financial crisis -- Financial innovation and the credit crunch.…”
    Book