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Financial markets

EinaHy, the researcher must consider the kind of strategy which best fits the company taking into account management, financial, marketing, and technical resources. [Pg.536]

Recycling Economic Development Advocates individuals hired by state or tribal economic development offices to focus financial, marketing and permitting resources on creating recycling businesses. [Pg.544]

Kleinert H (2004) Path integrals in quantum mechanics, statistics, polymer physics, and financial markets. 3rd edition. World Scientific Singapore River Edge, NJ, p xxvi, 1468 p. For the quantum mechanical integral equation, see Section 1.9 For the variational perturbation theory, see Chapters... [Pg.104]

A first kind of these insurance products are called "catastrophe bonds" and consist in securitizing environmental risks in bonds, which could be sold to high-yield investors. The catastrophe bonds are able to transfer risk to investors that receive coupons that are normally a reference rate plus an appropriate risk premium. By these products, insurance companies limit risk exposure transferring natural catastrophe risk into the capital markets. In this way, with the involvement of the financial markets, their global size offers enormous potential for insurers to diversify risks. [Pg.34]

With this kind of financial products, the insurance industry tries to reach two goals. First, there is the need for extra capital and to spread risks beyond the insurance sector. Particularly, cat bonds are used to spread insurance risk in the financial sector. The second goal is to improve the accuracy and the resolution of hazard data and the likely impacts on climate change with the involvement of financial market forecast ability. [Pg.35]

Kleinert, H., Path Integrals in Quantum Mechanics, Statistics, Polymer Physics and Financial Markets, (3rd edition), World Scientific, Singapore... [Pg.321]

Values in the industry value chain are subjects of financial accounting, profit and cost controlling as well as value-based management research. Out of the scope is the value chain support function of corporate finance concerned with getting required or investing excess financial resources in financial markets, which is not a core activity in the industry value chain and out of the scope in this work. The integration of value chain management with corporate finance is a potential area for further research. [Pg.32]

Value input data are given parameters to be entered by the planner in the model provide by controlling or finance functions in the company and often determined by financial markets. [Pg.144]

Speculation against sterling after March 1938 was mainly influenced by financial markets reactions to political events. In December 1938... [Pg.135]

With the worldwide emergence of financial markets and competition becoming more and more intense, companies around the globe are continuously urged to become more efficient. This striving for increased efficiency and reduced production costs has several implications. Extensive transportation activities, low prices and high consumption rates, mass layoffs or critical working conditions in various industry sectors can be considered problematic effects, while on the other hand public welfare seems to increase continuously. [Pg.17]

Professional Management Few investors have the time or knowledge to analyze companies and securities, study forces that influence the economy, and assess trends in financial markets. With mutual funds, individual investors gain access to professional portfolio management at bargain rates. [Pg.217]

Tip 2 No one has all the answers. Financial markets are influenced by so many factors that no one can predict beyond an educated guess. [Pg.221]

Mary L. Mandich, Lucent Technologies When I saw market-driven research, I immediately thought about financial market drivers. How do you think the forward-looking strategy of corporate-supported research and innovation is affected by market trends and stock prices ... [Pg.17]

It would be dishonest to say that these managers had an easy life and that the whole process of integration between a company that considered itself entrepreneurial and pragmatic and one that saw itself as having better structure and processes was an easy one. However, two years after the acquisition of the business from Solutia, at the time when the sale to Cytec was concluded, the company was clearly a very different one - having combined the best of both originating entities - and ready for the next big step. Thanks to the hard work of the joint workforce, UCB received several unsolicited bids for the business and eventually decided to divest to Cytec to create a EUR two billion focused specialty chemicals player at better conditions and faster than expected by the financial markets. [Pg.352]

From the perspective of financial investors, there are three factors that influence the degree of success the business s strategy and operations, conditions on the financial markets, and the aligned interest of management teams and financial sponsors. [Pg.420]

Financial markets value companies. The cycle of equity markets measured as a multiple of the current EBITDA performance of a company is important, as it influences the value and the timing of exits for financial sponsors. The availability of debt markets is equally important because LBOs require sophisticated debt financing arrangements. Conditions in both equity and debt markets have an impact on private equity investments. [Pg.423]

Two fundamental aspects need to be considered when assessing the impact of the financial markets on the success of private equity investments. First, all financial markets are cyclical, and the supply and demand of financial products drive the availability, volumes, and pricing of equity and debt financing. Second, European and U S capital markets provide access to different investors and therefore different market conditions. In almost all cases, the US market provides higher volumes and more favorable conditions for equity and debt transactions. [Pg.424]

Bogle JC. 2006. What s Ahead for Stocks and Bonds—And How to Earn Your Fair Share. Bogle Financial Markets... [Pg.331]

OECD. The OECD is a 29-member international group that discusses and develops economic and social policy in such areas as trade, public management, development assistance, and financial markets. [Pg.351]

There is nothing in the published literature concerning the financial relationships between the Hongkong and Shanghai Bank and the Chinese syndicates information had to be obtained from interviews with knowledgeable area sources, and compared to studies of financial market mechanisms. [Pg.246]

In September, 1974 less than four weeks after President Richard Nixon was driven out of office, Evelyn de Rothschild, Walter Hesselbach, and a handful of others conspired to bring down the Banque de Credit Internationale (1). The collapse caused a momentary panic on the international financial markets and more longterm financial problems for such people as Nixon and Michele Sindona, the Italian banker, whose poor judgment led them to place their money in the hands of IOS. Did this financial catastrophe spell the end of Permindex After all, BCI had been one of the centerpieces of the dirty money side of Major Bloomfield s assassination bureau. [Pg.321]


See other pages where Financial markets is mentioned: [Pg.217]    [Pg.148]    [Pg.3]    [Pg.19]    [Pg.31]    [Pg.61]    [Pg.86]    [Pg.113]    [Pg.346]    [Pg.247]    [Pg.9]    [Pg.96]    [Pg.136]    [Pg.125]    [Pg.33]    [Pg.19]    [Pg.80]    [Pg.73]    [Pg.209]    [Pg.348]    [Pg.417]    [Pg.423]    [Pg.488]    [Pg.8]    [Pg.86]    [Pg.88]    [Pg.309]    [Pg.40]   
See also in sourсe #XX -- [ Pg.424 ]

See also in sourсe #XX -- [ Pg.176 ]




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