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Financing and Raising Capital

Financing and Raising Capital PDF Author: Bloomsbury Publishing
Publisher: Bloomsbury Publishing
ISBN: 1472924681
Category : Business & Economics
Languages : en
Pages : 258

Book Description
The success of your business can depend on having access to the necessary capital. Financing and Raising Capital shows how all types of company can meet the challenge of obtaining funds for growth and special projects. Comprehensively explaining the basics for both entrepreneurs and corporate finance professionals, it provides authoritative analysis and strategies. Let the experts guide you through the process of raising capital, with contributions from over 30 leading practitioners and academics, including Lawrence Brotzge (consultant and angel investor), David Wyss (chief economist, Standard & Poor's), Frank J. Fabozzi (professor, Yale), Seth Armitage (professor, Edinburgh), and Augusto de la Torre (chief economist, Latin America and the Caribbean, World Bank).

Financing and Raising Capital

Financing and Raising Capital PDF Author: Bloomsbury Publishing
Publisher: Bloomsbury Publishing
ISBN: 1472924681
Category : Business & Economics
Languages : en
Pages : 258

Book Description
The success of your business can depend on having access to the necessary capital. Financing and Raising Capital shows how all types of company can meet the challenge of obtaining funds for growth and special projects. Comprehensively explaining the basics for both entrepreneurs and corporate finance professionals, it provides authoritative analysis and strategies. Let the experts guide you through the process of raising capital, with contributions from over 30 leading practitioners and academics, including Lawrence Brotzge (consultant and angel investor), David Wyss (chief economist, Standard & Poor's), Frank J. Fabozzi (professor, Yale), Seth Armitage (professor, Edinburgh), and Augusto de la Torre (chief economist, Latin America and the Caribbean, World Bank).

Effective Operations and Performance Management

Effective Operations and Performance Management PDF Author: Bloomsbury Publishing
Publisher: Bloomsbury Publishing
ISBN: 1849300291
Category : Business & Economics
Languages : en
Pages : 257

Book Description
Effective Operations and Performance Management is a multi-author volume, written by practitioners and academics in their respective fields of expertise including Andrew Mayo, Subir Chowdhur, Andrew Cox and Leslie L. Kossoff providing coverage in all aspects of operations and performance within a company. The book addresses measuring and managing operational issues, providing you with a solid platform from which to develop strategies and grow your business. It includes over 30 chapters covering the management of operations and performance. It offers you a rich vein of thought leadership and best practice and practical step-by-step guides on methods to improve operational robustness and measure performance. There are a range of Checklists including Performing a Skills Gap Analysis, The Triple Bottom Line, Using and Understanding Financial Ratios for Analysis, Applying Stress-Testing to Business Continuity Management plus much more...

Approaches to Enterprise Risk Management

Approaches to Enterprise Risk Management PDF Author: Bloomsbury Information Ltd.
Publisher: A&C Black
ISBN: 1849300038
Category : Business & Economics
Languages : en
Pages : 242

Book Description
In the current climate, it is essential to identify risk exposure across a firm to mitigate or minimise potential threats to its financial health. Approaches to Enterprise Risk Management is a multi-author volume encompassing best-practice approaches in a range of activities, written by leading experts in the field of risk management.

Approaches to Enterprise Risk Management

Approaches to Enterprise Risk Management PDF Author: Bloomsbury Publishing
Publisher: A&C Black
ISBN: 1849300267
Category : Business & Economics
Languages : en
Pages : 242

Book Description
Approaches to Enterprise Risk Management is a multi-author book written by leading experts in the field of risk management including Aswath Damodoran, John C. Groth and David Shimko. It is a valuable tool that enables you to assess the potential business threats, both from within your organization and from external sources. It comprises over 25 chapters covering the range of risks your organization might face including financial, strategic, operational risks. It offers you over 20 practical step-by-step guides on the required steps to cope with any detrimental event that could impact on your company's financial health. There are also a range of checklists including Balancing Hedging Objectives with Accounting Rules (FAS 133) , Creating a Risk Register, What Is Forensic Auditing? And Managing and Auditing the Risk of Business Interruption, Captive Insurance Companies: How to Reduce Your Costs, Hedging Credit Risk-Case Studies and Strategies.

Islamic Finance: Instruments and Markets

Islamic Finance: Instruments and Markets PDF Author: Bloomsbury Publishing
Publisher: Bloomsbury Publishing
ISBN: 1849300399
Category : Business & Economics
Languages : en
Pages : 238

Book Description
Islamic Finance: Instruments and Markets looks at the application of Sharia law to the world of banking and finance. It provides you with an understanding of the rationale behind the instruments and the rapidly developing Islamic financial markets. Coverage includes in-depth analysis of the financial instruments within the Sharia framework and how they are applied in various sectors including insurance, investment and capital markets. Regulatory issues are also discussed both from the role of the Sharia board to reporting financial risk to legal bodies. It addresses issues such as bringing a New Ethical Dimension to Banking through to The International Role of Islamic Finance and provides you with a range of checklists from Business Ethics in Islamic Finance to The Role of the Shariah Advisory Board in Islamic Finance and Regulatory and Capital Issues under Shariah Law.

National Intellectual Capital and the Financial Crisis in China, Hong Kong, Singapore, and Taiwan

National Intellectual Capital and the Financial Crisis in China, Hong Kong, Singapore, and Taiwan PDF Author: Carol Yeh-Yun Lin
Publisher: Springer Science & Business Media
ISBN: 1461459842
Category : Business & Economics
Languages : en
Pages : 120

Book Description
In the first decade of the twenty-first century, the biggest event of worldwide proportion was the 2008 global financial crisis, which was caused primarily by ineffective governance, failed surveillance systems, and implementation flaws. While fiscal and monetary policies succeeded in pulling many countries out of a financial freefall, most economies have performed beneath pre-recession levels as governments continued to struggle with their finances. Examining the financial crisis from the viewpoint of intangible assets provides a different perspective from traditional economic approaches. National Intellectual Capital (NIC), comprised mainly of human capital, market capital, process capital, renewal capital, and financial capital, is a valuable intangible asset and a key source of national competitive advantage in today’s knowledge economy. The authors—pioneers in the field—present extensive data and a rigorous conceptual framework to analyze the connections between the global financial crisis and NIC development. Covering the period from 2005 to 2010 across 48 countries, the authors establish a positive correlation between NIC and GDP per capita and consider the impact of NIC investment for short-term recovery and long-term risk control and strategy formulation. Each volume in a series of SpringerBriefs on NIC and the financial crisis provides in-depth coverage of the impact of the crisis, the aftermath, future prospects, and policy implications for a regional cluster. This volume focuses on China, Hong Kong, Singapore, and Taiwan.

Essentials of Working Capital Management

Essentials of Working Capital Management PDF Author: James S. Sagner
Publisher: John Wiley & Sons
ISBN: 0470916923
Category : Business & Economics
Languages : en
Pages : 293

Book Description
A comprehensive primer for executives and managers on working capital management With limited access to credit and short term funding, it is increasingly important that companies focus on working capital management to free up funds and optimize liqidity. Written in the easy-to-follow Essentials Series style, Essentials of Working Capital Management covers the main components of working capital. Covers the latest trends around working capital Discusses a range of working capital topics, including cash management, banking relations, accounts receivable, inventory, accounts payable, and foreign exchange Analyzes the efficient utilization of current assets and liabilities of a business through each phase of the operating cycle Examines the planning, monitoring, and management of the company's collections, disbursements and concentration banking Explores the gathering and management of information and forecast data to effectively use funds and identify risk Focused on how businesses can continue to be successful in these difficult times, specifically in relation to the limited credit available to businesses, this book puts practical guidance at your fingertips so you can put them to work right away. A comprehensive case introduces each major section of the book, and suggested solutions are included in a book appendix.

Working Capital Management

Working Capital Management PDF Author: James S. Sagner
Publisher: John Wiley & Sons
ISBN: 1118933842
Category : Business & Economics
Languages : en
Pages : 310

Book Description
Stay liquid, think global, and better manage resources with this authoritative guide Working Capital Management is a comprehensive primer on keeping your business financially competitive in the face of limited access to short-term funds. With detailed insight applicable to each phase in the business cycle, this authoritative guide helps managers revamp current practices for more efficient use of assets and liabilities, including more stringent monitoring and planning of collections, disbursements, and balances. Readers will learn how to minimize investments in idle resources, and how to maximize the use of forecast data to better identify risk and the optimal use of available funds. Case studies illustrate the practical applications of the ideas presented, with particular attention given to cash budgeting, forecasting, banking relationships and other common scenarios with specific requirements. Managing a company’s short-term resources is both an art and a science. Effectively maintaining funds for ongoing activities – and keeping those funds liquid, mobile, and available – is a masterful skillset lacking in business. Working Capital Management offers practical advice for managers in this challenging position, providing guidance that helps them: Learn the specific metrics at work in capital management, and the problems that they can cause Improve cash management with robust fraud protection and better use of short-term instruments Manage the issues that arise from accounts receivable, inventory, payables, information management, and international sources Develop an effective management system for key points in the working capital cycle The recent liquidity crisis in the U.S. has thrown the spotlight onto those companies that have adjusted well to credit contraction and the weakened economy, and these success stories – some of which are noted in the book – demonstrate that a positive business outcome can be accomplished. Working Capital Management provides a clear look at a complex issue, with practical, actionable, sustainable advice.

Qfinance

Qfinance PDF Author: Qatar Financial Centre
Publisher:
ISBN: 9781849300636
Category : Finance
Languages : en
Pages : 2162

Book Description
QFINANCE: The Ultimate Resource (4th edition) offers both practical and thought-provoking articles for the finance practitioner, written by leading experts from the markets and academia. The coverage is expansive and in-depth, with key themes which include balance sheets and cash flow, regulation, investment, governance, reputation management, and Islamic finance encompassed in over 250 best practice and thought leadership articles. This edition will also comprise key perspectives on environmental, social, and governance (ESG) factors -- essential for understanding the long-term sustainability of a company, whether you are an investor or a corporate strategist. Also included: Checklists: more than 250 practical guides and solutions to daily financial challenges; Finance Information Sources: 200+ pages spanning 65 finance areas; International Financial Information: up-to-date country and industry data; Management Library: over 130 summaries of the most popular finance titles; Finance Thinkers: 50 biographies covering their work and life; Quotations and Dictionary.

National Intellectual Capital and the Financial Crisis in Bulgaria, Czech Republic, Hungary, Romania, and Poland

National Intellectual Capital and the Financial Crisis in Bulgaria, Czech Republic, Hungary, Romania, and Poland PDF Author: Carol Yeh-Yun Lin
Publisher: Springer Science & Business Media
ISBN: 1461480183
Category : Business & Economics
Languages : en
Pages : 141

Book Description
In the first decade of the twenty-first century, the biggest event of worldwide proportion was the 2008 global financial crisis, which was caused primarily by ineffective governance, failed surveillance systems, and implementation flaws. While fiscal and monetary policies succeeded in pulling many countries out of a financial freefall, most economies have performed beneath pre-recession levels as governments continued to struggle with their finances. Examining the financial crisis from the viewpoint of intangible assets provides a different perspective from traditional economic approaches. National Intellectual Capital (NIC), comprised mainly of human capital, market capital, process capital, renewal capital, and financial capital, is a valuable intangible asset and a key source of national competitive advantage in today’s knowledge economy. The authors—pioneers in the field—present extensive data and a rigorous conceptual framework to analyze the connections between the global financial crisis and NIC development. Covering the period from 2005 to 2010 across 48 countries, the authors establish a positive correlation between NIC and GDP per capita and consider the impact of NIC investment for short-term recovery and long-term risk control and strategy formulation. Each volume in a series of SpringerBriefs on NIC and the financial crisis provides in-depth coverage of the impact of the crisis, the aftermath, future prospects, and policy implications for a regional cluster. This volume focuses on Bulgaria, Czech Republic, Hungary, Romania, and Poland.