Author: United Nations Library (Geneva, Switzerland)
Publisher:
ISBN:
Category : International relations
Languages : en
Pages : 788
Book Description
Monthly Bibliography
Author: United Nations Library (Geneva, Switzerland)
Publisher:
ISBN:
Category : International relations
Languages : en
Pages : 788
Book Description
Publisher:
ISBN:
Category : International relations
Languages : en
Pages : 788
Book Description
Analyse et dynamique du marché des capitaux
Author: Pierre Prissert
Publisher:
ISBN: 9782863252260
Category :
Languages : fr
Pages : 405
Book Description
Publisher:
ISBN: 9782863252260
Category :
Languages : fr
Pages : 405
Book Description
Analyse et dynamique du marché des capitaux
Author: Pierre Prissert
Publisher:
ISBN: 9782863251751
Category :
Languages : fr
Pages : 415
Book Description
Publisher:
ISBN: 9782863251751
Category :
Languages : fr
Pages : 415
Book Description
OECD Economics Glossary English-French
Author: OECD
Publisher: OECD Publishing
ISBN: 9264035869
Category :
Languages : fr
Pages : 562
Book Description
This updated and expanded edition of the 1992 Glossaire de l’économie anglais-français contains some 30 000 terms and expressions, covering a wide range of subject areas: economics, statistics, finance and banking, trade, management, accounting, insurance, employment, development and taxation.
Publisher: OECD Publishing
ISBN: 9264035869
Category :
Languages : fr
Pages : 562
Book Description
This updated and expanded edition of the 1992 Glossaire de l’économie anglais-français contains some 30 000 terms and expressions, covering a wide range of subject areas: economics, statistics, finance and banking, trade, management, accounting, insurance, employment, development and taxation.
Selective Management Bibliography
Author: Georges Sandeau
Publisher:
ISBN:
Category : Business & Economics
Languages : en
Pages : 416
Book Description
Publisher:
ISBN:
Category : Business & Economics
Languages : en
Pages : 416
Book Description
Fiscal Management in Adjustment Lending
Author: Jayati Datta Mitra
Publisher: World Bank Publications
ISBN: 9780821339657
Category : Business & Economics
Languages : en
Pages : 202
Book Description
This study analyzes the World Bank's experience with fiscal management in 250 adjustment operations in 86 countries. It examines the fiscal records in a sample of 26 countries grouped by region, portfolio characteristics, and economic traits. The study confirms that fiscal deficit reduction is associated with improved external balances and economic growth and that it takes sustained, long-term effort, and continual vigilance against reversals. Fiscal mismanagement, not exogenous shocks, was the principal cause of persistent budget deficits. The study offers the following recommendations for the Bank and its borrowers:1) Estimate the level of the sustainable deficit and provide guidelines for achieving it in Bank economic and sector work and adjustment lending. 2) Improve sequencing of tax reform. 3) Consider explicitly the role of the state and the appropriate mix of public/private provision of services in recommending public expenditure reform. 4) Include poverty alleviation and equity objectives in public expenditure reform. 5) Build adequate monitoring and performance indicators for both tax and expenditure reforms. 6) Enhance Bank-Fund coordination, in support of the Fund's lead role in giving fiscal advice, by strengthening the Bank's ability to analyze taxes and expenditures.
Publisher: World Bank Publications
ISBN: 9780821339657
Category : Business & Economics
Languages : en
Pages : 202
Book Description
This study analyzes the World Bank's experience with fiscal management in 250 adjustment operations in 86 countries. It examines the fiscal records in a sample of 26 countries grouped by region, portfolio characteristics, and economic traits. The study confirms that fiscal deficit reduction is associated with improved external balances and economic growth and that it takes sustained, long-term effort, and continual vigilance against reversals. Fiscal mismanagement, not exogenous shocks, was the principal cause of persistent budget deficits. The study offers the following recommendations for the Bank and its borrowers:1) Estimate the level of the sustainable deficit and provide guidelines for achieving it in Bank economic and sector work and adjustment lending. 2) Improve sequencing of tax reform. 3) Consider explicitly the role of the state and the appropriate mix of public/private provision of services in recommending public expenditure reform. 4) Include poverty alleviation and equity objectives in public expenditure reform. 5) Build adequate monitoring and performance indicators for both tax and expenditure reforms. 6) Enhance Bank-Fund coordination, in support of the Fund's lead role in giving fiscal advice, by strengthening the Bank's ability to analyze taxes and expenditures.
Bibliographic Guide to Business and Economics
Author: New York Public Library. Research Libraries
Publisher:
ISBN:
Category : Business
Languages : en
Pages : 556
Book Description
Publisher:
ISBN:
Category : Business
Languages : en
Pages : 556
Book Description
Annual Report
Author: Canada Mortgage and Housing Corporation
Publisher:
ISBN:
Category : Housing
Languages : en
Pages : 180
Book Description
Publisher:
ISBN:
Category : Housing
Languages : en
Pages : 180
Book Description
L’investissement en obligations
Author: GRUSON Pierre
Publisher: Lavoisier
ISBN: 2746282895
Category : Bonds
Languages : en
Pages : 295
Book Description
La crise financière de 2007 a mis en lumière l’importance vitale des produits obligataires pour nos économies, mais elle a aussi révélé la nécessité de gérer les risques qui les accompagnent. Véritable panorama de l’investissement en obligations, cet ouvrage présente une étude des taux d’intérêt et de leur structure, ainsi qu’une analyse complète des titres obligataires (obligations convertibles, indexées, à taux fixe, etc.). Il traite également de la gestion des risques sur les marchés dérivés, par des opérations de gré à gré, ou sur les marchés organisés (futures, options, swaps, dérivés de crédit). Illustré d’exemples s’appuyant sur des cotations et des performances réelles tirées de l’actualité des marchés, ce livre propose aussi des applications numériques détaillées.
Publisher: Lavoisier
ISBN: 2746282895
Category : Bonds
Languages : en
Pages : 295
Book Description
La crise financière de 2007 a mis en lumière l’importance vitale des produits obligataires pour nos économies, mais elle a aussi révélé la nécessité de gérer les risques qui les accompagnent. Véritable panorama de l’investissement en obligations, cet ouvrage présente une étude des taux d’intérêt et de leur structure, ainsi qu’une analyse complète des titres obligataires (obligations convertibles, indexées, à taux fixe, etc.). Il traite également de la gestion des risques sur les marchés dérivés, par des opérations de gré à gré, ou sur les marchés organisés (futures, options, swaps, dérivés de crédit). Illustré d’exemples s’appuyant sur des cotations et des performances réelles tirées de l’actualité des marchés, ce livre propose aussi des applications numériques détaillées.