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Wertmanagement In Banken


Wertmanagement In Banken
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Wertmanagement In Banken


Wertmanagement In Banken
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Author : Thomas A. Lange
language : de
Publisher: Springer-Verlag
Release Date : 2015-02-27

Wertmanagement In Banken written by Thomas A. Lange and has been published by Springer-Verlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-02-27 with Business & Economics categories.


Wertorientierung und Wertmanagement sind die zentralen bankbetrieblichen Herausforderungen der Gegenwart und Zukunft. In diesem Buch werden die wesentlichen Aspekte des Managements in Banken und Sparkassen ausführlich und anschaulich dargestellt.



Wertmanagement Von Banken


Wertmanagement Von Banken
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Author : Eric Strutz
language : de
Publisher:
Release Date : 1993

Wertmanagement Von Banken written by Eric Strutz and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1993 with Bank investments categories.




Handbuch Wertmanagement In Banken Und Versicherungen


Handbuch Wertmanagement In Banken Und Versicherungen
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Author : Matthias Fischer
language : de
Publisher: Springer-Verlag
Release Date : 2013-03-13

Handbuch Wertmanagement In Banken Und Versicherungen written by Matthias Fischer and has been published by Springer-Verlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-03-13 with Business & Economics categories.


Die europäischen Finanzdienstleistungsunternehmen befinden sich mitten im Umbruch und in der Konsolidierung. Deregulierung, Konzentration und Globalisierung gewinnbringend nutzen.



Risiko Und Wertmanagement In Banken


Risiko Und Wertmanagement In Banken
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Author :
language : de
Publisher: Springer-Verlag
Release Date : 2013-07-02

Risiko Und Wertmanagement In Banken written by and has been published by Springer-Verlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-07-02 with Business & Economics categories.


Der Autor definiert, wie sich risikobereinigte Rentabilitätskennzahlen in die Ziele des Risikomanagements bei Kreditinstituten einordnen lassen, und analysiert die breitgefächerte Eignung innerhalb der Gesamtbankensteuerung.



Risiko Und Wertmanagement In Banken


Risiko Und Wertmanagement In Banken
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Author :
language : de
Publisher: Deutscher Universitätsverlag
Release Date : 1997-12-12

Risiko Und Wertmanagement In Banken written by and has been published by Deutscher Universitätsverlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 1997-12-12 with Business & Economics categories.


Der Autor definiert, wie sich risikobereinigte Rentabilitätskennzahlen in die Ziele des Risikomanagements bei Kreditinstituten einordnen lassen, und analysiert die breitgefächerte Eignung innerhalb der Gesamtbankensteuerung.



Corporate Evaluation In The German Banking Sector


Corporate Evaluation In The German Banking Sector
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Author : Svend Reuse
language : en
Publisher: Springer Science & Business Media
Release Date : 2007-11-06

Corporate Evaluation In The German Banking Sector written by Svend Reuse and has been published by Springer Science & Business Media this book supported file pdf, txt, epub, kindle and other format this book has been release on 2007-11-06 with Business & Economics categories.


Svend Reuse’s analysis of the theoretical status quo of corporate evaluation in the German banking sector shows that only the earnings value method, the equity approach and the multiplier method are useful in this context. The results of his empirical study demonstrate that many banks do not implement shareholder value in practice, but favour periodic variables for their management. Based on the results of the study, the author presents a new model to quantify the value of German banks. Finally, he offers solutions to the problem that banks do not interlink the evaluation of their own value with a value-oriented management process.



Value Based Performance Measures


Value Based Performance Measures
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Author : Nils Eikelmann
language : en
Publisher: Springer Nature
Release Date : 2020-08-19

Value Based Performance Measures written by Nils Eikelmann and has been published by Springer Nature this book supported file pdf, txt, epub, kindle and other format this book has been release on 2020-08-19 with Business & Economics categories.


Nils Eikelmann describes the framework conditions for the application of value-based performance measures and critically analyses selected ones. The disclosure of value-based performance indicators is important in order to demonstrate the successful management of a company and to satisfy the increasing information needs of investors. However, companies adapt the developed theoretical concepts of value-based performance measures to their practical needs and thus investors are no longer able to compare the performance of companies. In addition, there is a variety of different metrics from which companies can choose. The empirical study aims to reduce existing research gaps and is divided into three parts: the analysis of annual reports of selected European companies, the calculation of a standardised value-based performance measure and a value relevance study in the form of an association study.



Risk Management And Value Creation In Financial Institutions


Risk Management And Value Creation In Financial Institutions
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Author : Gerhard Schroeck
language : en
Publisher: John Wiley & Sons
Release Date : 2002-10-01

Risk Management And Value Creation In Financial Institutions written by Gerhard Schroeck and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2002-10-01 with Business & Economics categories.


An analysis of the links between risk management and value creation Risk Management and Value Creation in Financial Institutions explores a variety of methods that can be utilized to create economic value at financial institutions. This invaluable resource shows how banks can use risk management to create value for shareholders, addresses the advantages of risk-adjusted return on capital (RAROC) measures, and develops the foundations for a model to identify comparative advantages that emerge as a result of risk-management decisions. It is the only book needed for banking executives interested in the relationship between risk management and value creation.



Banks And Shareholder Value


Banks And Shareholder Value
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Author : Stephanie Gross
language : en
Publisher: Springer Science & Business Media
Release Date : 2007-11-06

Banks And Shareholder Value written by Stephanie Gross and has been published by Springer Science & Business Media this book supported file pdf, txt, epub, kindle and other format this book has been release on 2007-11-06 with Business & Economics categories.


Stephanie Gross focuses on three sets of questions on shareholder value of banks and analyses its measurement, empirical relevance and value drivers.



Fintech Business Models


Fintech Business Models
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Author : Matthias Fischer
language : en
Publisher: Walter de Gruyter GmbH & Co KG
Release Date : 2021-02-08

Fintech Business Models written by Matthias Fischer and has been published by Walter de Gruyter GmbH & Co KG this book supported file pdf, txt, epub, kindle and other format this book has been release on 2021-02-08 with Business & Economics categories.


This book on fintechs shows an international comparison on a global level. It is the first book where 10 years of financing rounds for fintechs have been analyzed for 10 different fintech segments. It is the first book to show the Canvas business model for fintechs. Professionals and students get a global understanding of fintechs. The case examples in the book cover Europe, the U.S. and China. About the author: Matthias Fischer is professor of finance and banking at the Institute of Technology Nuremberg Georg-Simon-Ohm in Germany. His research has focused on strategy and M&A in the banking sector, value-based management, robo-advisory and fintechs. Dr. Fischer also serves as a member of the Groupe de Recherche en Management at the IAE Nice Graduate School of Management, Université Côte d'Azur in France. He is internationally active as a strategy and financial advisor. Reviews of the book: FinTech is not the next 'big thing.' It is the big thing now! FinTech is the new business model for the global financial sector, offering clear and enormous potential for vast economies of scale and scope, massive cost savings and efficiency gains, significant risk reduction, and opening the door to banking for literally billions of currently unbanked people. Professor Fischer has done a masterful job of expertly and informatively taking us through all aspects of the revolutionary new FinTech business models. Using state-of-the-art research techniques, he insightfully shows us how FinTech firms are financed and how they aspire to create value. His in-depth case studies unlock the keys to success in the FinTech sector. His fascinating book is a 'must read' for all financial professionals. Dr. Stephen Morrell, Professor of Economics and Finance, Andreas School of Business, Barry University, Miami, USA Matthias Fischer's latest book offers a comprehensive overview of Fintech business models around the world. With a very pedagogical approach, and in a particularly fluid style, the author takes us into the strategic logics of these new entrants to finance, who are carriers of innovation and sometimes of disruption, and whose strategies are focused on the need to always meet the emerging expectations of their customers. This precise and well-documented analysis should enable banks to reposition themselves in their ecosystem by studying these new business models, which will enable them to boost their growth. Professor Dr. Nadine Tournois, Dean of IAE Nice Graduate School of Management, Université Côte d'Azur, France, Chevalier de la Légion d'honneur Fintech Business Models is a must-have book to understand the rapid and intense changes occurring in the financial sector. New technologies have allowed the birth of new financial species, such as Fintech, more adapted to the new digital economy. The content dedicated to the application of blockchain technology helps to understand its opportunities in the financial sector, not only in the means of payment and cryptoactives, but also in how blockchain can make multiple internal processes improve, allowing to optimize the management, efficiency and even security of operations. Without any doubt, this book offers an extraordinary vision of how the fintech sector has become a catalyst for change in banking in the context of the current Digital Society. Phd. Ricardo Palomo, Full Professor of Finance, Deputy Chancellor for Digital Transformation at Universidad CEU San Pablo, Madrid, Spain and member of the Board of Alastria Blockchain Ecosytem This book provides a detailed and original overview of the most important fintech business models in the major global markets. Through a savvy use of the well-known Business Model Canvas methodology, the author explores the unique ecosystem, business model’s components, and sources of competitive advantage of successful fintech firms. The book, in particular, offers an insightful and comprehensive analysis of the winning and losing strategies and performances of fintech firms by segment of activity such as, instant digital payments, crowd-funding, robo-advisory, alternative finance, credit & factoring, social trading, personal finance management, blockchain and cryptocurrencies. It is indeed a very unique and valuable study on the fintech industry, its trends, and its emerging business models. Prof. Ivo Pezzuto, The International School of Management, Paris, France and Adjunct Professor of International Business and Strategic Management Università Cattolica del Sacro Cuore, Department of Business Management, Milan, Italy The emergence of fintechs is one of the most relevant drivers of change in the financial services industry. The book presented here delivers an impressing overview of fintechs’ activity areas, business models and funding patterns. The book reflects the state of the art of the current fintech world. Prof. Dr. Jürgen Moormann, Professor of Bank and Process Management at Frankfurt School of Finance & Management, Germany