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This book offers a comprehensive review of crowdfunding at Higher Education Institutions, both in theory and practice. In addition, it sheds new light on the emerging concept of crowdfunding at Higher Education Institutions and presents an overview of current academic discussions and best practices regarding crowdfunding in education. Meer
The book, belonging to the series “Studies in Theoretical and Applied Statistics– Selected Papers from the Statistical Societies”, presents a peer-reviewed selection of contributions on relevant topics organized by the editors on the occasion of the SIS 2013 Statistical Conference "Advances in Latent Variables. Meer
This book analyzes the determinants and effectiveness of corporate governance in an integrated model drawing on contingency theory and employing structural equation modeling (SEM). Meer
This book provides an introduction to the state of the art in financial technology (FinTech) and the current applications of FinTech in digital banking. Meer
This book describes in full the major approaches used to evaluate investment in real estate and shows how theory informs decision-aid methods and tools to support such evaluation. Meer
This book explains how to restructure and successfully turn around a bank or financial institution at a time when the global financial system is facing a new wave of disruption ushered in by innovation from digital financial technology, or FinTech. Meer
This book reports on the results of an interdisciplinary and multidisciplinary workshop on provenance that brought together researchers and practitioners from different areas such as archival science, law, information science, computing, forensics and visual analytics that work at the frontiers of new knowledge on provenance. Meer
This book provides a comprehensive analysis of the Organisation for Economic Cooperation and Development’s (OECD) war on offshore tax evasion. The authors explain the new emerging regulatory regimes on the global exchange of information to combat offshore tax evasion and analyse why Automatic Exchange of Information (AEOI) is not a “magic bullet” solution. Meer
This book advocates a holistic reform of the current monetary and financial system dealing with the issues of money creation, central banks, loans, stock markets, tax justice, pension security and the international monetary system - “Bretton Woods II”. Meer
This book explores the philosophical understanding of the “energy consumption” in warehousing process that can be found in the literature. It presents known technical solutions that, if they are used in cold storage rooms, can effectively reduce energy consumption: through lower power consumption and/or energy recovery, such as the use of photovoltaic panels. Meer
Little is known about the personal lives of Victor DeVilliers, and Owen Taylor, but in surveying their other books and writings, a more informed picture emerges of their capabilities in their chosen field, stock and futures market analysis. Meer
A guide to getting started with binary betting. It assumes that you already know the basics and shows you in detail how and why: you need never use a stop again; you can get the market totally wrong and still make money; and you can look forward to news items and trade them with impunity. Meer
Focuses on developing and back-testing systems trading strategies to be used whilst spread betting. This book details the cycle of choosing instruments, designing strategies, back-testing and the real-time trading of those systems. Meer
Candlesticks are a fantastic way of getting a clear idea of market direction, and any changes that may be taking place in price trends. This title intends to change the simple viewing of a candlestick chart into a search for the answer to the perennial question: 'Who's controlling the market; the Bulls or the Bears? Meer
Active Equity Portfolio Management provides an overview of the philosophies, methodologies, and strategies involved in attempting to beat the market. The book covers a host of relevant topics including equity benchmarks, equity style management, tactical asset allocation, and the use of derivatives to enhance returns. Meer
The fixed income markets in emerging countries represent a new and potentially lucrative area of investment for investors. But along with the possibility of big returns, there is a much greater risk. Meer
In Bond Portfolio Management, Frank Fabozzi, the leading expert in fixed income securities, explains the latest strategies for maximizing bond portfolio returns. Meer
With investors flocking to Wall Street in an attempt to beat today′s turbulent market, Fabozzi and Grant show you how to stay focused and create a solid equity portfolio in Equity Management. Meer
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