Delegating the Monitoring of Fair Value Measurements

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ISBN 13 :
Total Pages : pages
Book Rating : 4.:/5 (13 download)

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Book Synopsis Delegating the Monitoring of Fair Value Measurements by : Kyrre Kjellevold

Download or read book Delegating the Monitoring of Fair Value Measurements written by Kyrre Kjellevold and published by . This book was released on 2020 with total page pages. Available in PDF, EPUB and Kindle. Book excerpt: Company specialists engaged by management may be delegated a monitoring role by auditors, creditors, or investors, and reduce information asymmetry present in fair value measurements (FVMs). Utilizing in-depth interviews with Norwegian company specialists and audit partners this study investigates factors potentially impacting company specialists' effectiveness as monitors of the reliability of FVMs and how such factors challenge auditors' reliance on their monitoring. The findings suggest that company specialists are not immune to management pressure and several influence tactics are documented. Furthermore, as company specialists strategically guard their private information (e.g., valuation models or non-client specific information) auditors are forced to rely on external, and potentially biased, information sources to evaluate the objectivity and reliability of the company specialists. While auditors often request that clients engage several specialists to alleviate concerns about conflicts-of-interest, management seems to anticipate this and strategically controls information flow between the specialists to create more persuasive evidence. The findings provide support for theoretical predictions from agency theory and financial economics and enhances our understanding of specialists' delegated monitoring effectiveness.

International Convergence of Capital Measurement and Capital Standards

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Publisher : Lulu.com
ISBN 13 : 9291316695
Total Pages : 294 pages
Book Rating : 4.2/5 (913 download)

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Book Synopsis International Convergence of Capital Measurement and Capital Standards by :

Download or read book International Convergence of Capital Measurement and Capital Standards written by and published by Lulu.com. This book was released on 2004 with total page 294 pages. Available in PDF, EPUB and Kindle. Book excerpt:

The Routledge Companion to Fair Value in Accounting

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Publisher : Routledge
ISBN 13 : 131722132X
Total Pages : 346 pages
Book Rating : 4.3/5 (172 download)

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Book Synopsis The Routledge Companion to Fair Value in Accounting by : Gilad Livne

Download or read book The Routledge Companion to Fair Value in Accounting written by Gilad Livne and published by Routledge. This book was released on 2018-06-13 with total page 346 pages. Available in PDF, EPUB and Kindle. Book excerpt: The concept of "fair value" marked a major departure from traditional cost accounting. In theory, under this approach a balance sheet that better reflects the current value of assets and liabilities. Critics of fair value argue that it is less useful over longer time frames and prone to distortion by market inefficiencies resulting in procyclicality in the financial system by exacerbating market swings. Comprising contributions from a unique mixture of academics, standard setters and practitioners, and edited by internationally recognized experts, this book, on a controversial and intensely debated topic, is a comprehensive reference source which: examines the use of fair value in international financial reporting standards and the US standard SFAS 157 Fair Value Measurement, setting out the case for and against looks at fair value from a number of different theoretical and practical perspectives, including a critical review of the merits and arguments against the use of fair value accounting explores fair value accounting in practice, involvement in the Great Financial Crisis, implications for managerial reporting discretion, compensation and investment This volume is an indispensable reference that is deserving of a place on the bookshelves of both libraries and all those working in, studying, or researching the areas of international accounting, financial accounting and reporting.

The Industrial Organization of Banking

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Publisher : Springer Nature
ISBN 13 : 3031162412
Total Pages : 285 pages
Book Rating : 4.0/5 (311 download)

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Book Synopsis The Industrial Organization of Banking by : David VanHoose

Download or read book The Industrial Organization of Banking written by David VanHoose and published by Springer Nature. This book was released on 2022-11-14 with total page 285 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book provides an evaluation of the industrial organization of banking with a focus on the interrelationship among bank behavior, market structure, and regulation. It addresses a wide range of public policy topics, including bank competition and risk, international banking, antitrust issues, and capital regulation. New to this edition, which has been updated throughout, is a broadened consideration of alternative theories of competition among banks, which includes discussions of such issues as the implications of large increases in bank reserve holdings in recent years, effects of nonprice competition through quality rivalry, analysis of mixed market structures involving both large and small banks, and international interactions of banks and policymakers. The intent of the book is to serve as a learning tool and reference for graduate students, academics, bankers, and policymakers seeking to better understand the industrial organization of the banking sector and the effects of banking regulations.

Statutes of California and Digests of Measures

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Publisher :
ISBN 13 :
Total Pages : 1740 pages
Book Rating : 4.3/5 (121 download)

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Book Synopsis Statutes of California and Digests of Measures by : California

Download or read book Statutes of California and Digests of Measures written by California and published by . This book was released on 2008 with total page 1740 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Model Rules of Professional Conduct

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Publisher : American Bar Association
ISBN 13 : 9781590318737
Total Pages : 216 pages
Book Rating : 4.3/5 (187 download)

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Book Synopsis Model Rules of Professional Conduct by : American Bar Association. House of Delegates

Download or read book Model Rules of Professional Conduct written by American Bar Association. House of Delegates and published by American Bar Association. This book was released on 2007 with total page 216 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Model Rules of Professional Conduct provides an up-to-date resource for information on legal ethics. Federal, state and local courts in all jurisdictions look to the Rules for guidance in solving lawyer malpractice cases, disciplinary actions, disqualification issues, sanctions questions and much more. In this volume, black-letter Rules of Professional Conduct are followed by numbered Comments that explain each Rule's purpose and provide suggestions for its practical application. The Rules will help you identify proper conduct in a variety of given situations, review those instances where discretionary action is possible, and define the nature of the relationship between you and your clients, colleagues and the courts.

Investment Company Act Release

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Publisher :
ISBN 13 :
Total Pages : 974 pages
Book Rating : 4.F/5 ( download)

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Book Synopsis Investment Company Act Release by : United States. Securities and Exchange Commission

Download or read book Investment Company Act Release written by United States. Securities and Exchange Commission and published by . This book was released on 1967 with total page 974 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Risk Management and Shareholders' Value in Banking

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Publisher : John Wiley & Sons
ISBN 13 : 9780470510735
Total Pages : 808 pages
Book Rating : 4.5/5 (17 download)

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Book Synopsis Risk Management and Shareholders' Value in Banking by : Andrea Sironi

Download or read book Risk Management and Shareholders' Value in Banking written by Andrea Sironi and published by John Wiley & Sons. This book was released on 2007-04-30 with total page 808 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book presents an integrated framework for risk measurement, capital management and value creation in banks. Moving from the measurement of the risks facing a bank, it defines criteria and rules to support a corporate policy aimed at maximizing shareholders' value. Parts I - IV discuss different risk types (including interest rate, market, credit and operational risk) and how to assess the amount of capital they absorb by means of up-to-date, robust risk-measurement models. Part V surveys regulatory capital requirements: a special emphasis is given to the Basel II accord, discussing its economic foundations and managerial implications. Part VI presents models and techniques to calibrate the amount of economic capital at risk needed by the bank, to fine-tune its composition, to allocate it to risk-taking units, to estimate the "fair" return expected by shareholders, to monitor the value creation process. Risk Management and Shareholders' Value in Banking includes: * Value at Risk, Monte Carlo models, Creditrisk+, Creditmetrics and much more * formulae for risk-adjusted loan pricing and risk-adjusted performance measurement * extensive, hands-on Excel examples are provided on the companion website www.wiley.com/go/rmsv * a complete, up-to-date introduction to Basel II * focus on capital allocation, Raroc, EVA, cost of capital and other value-creation metrics

Why Delegate?

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Publisher : Oxford University Press, USA
ISBN 13 : 0190904194
Total Pages : 201 pages
Book Rating : 4.1/5 (99 download)

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Book Synopsis Why Delegate? by : Neil J. Mitchell

Download or read book Why Delegate? written by Neil J. Mitchell and published by Oxford University Press, USA. This book was released on 2021 with total page 201 pages. Available in PDF, EPUB and Kindle. Book excerpt: Why Delegate? explores and develops the logic of delegation, showing its wide application in our private and public lives in an accessible way. Mitchell modifies the standard economic account to better fit what happens in the world around us. Using diverse cases ranging from surrogate parenting, pollution scandals at Volkswagen, the dispute process in the NFL, child abuse, and war crimes, this book explains the incentives at work and, among other issues,investigates the surprising passivity of those who are supposed to be in charge.

International Corporate Governance After Sarbanes-Oxley

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Publisher : John Wiley & Sons
ISBN 13 : 1118161122
Total Pages : 405 pages
Book Rating : 4.1/5 (181 download)

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Book Synopsis International Corporate Governance After Sarbanes-Oxley by : Paul Ali

Download or read book International Corporate Governance After Sarbanes-Oxley written by Paul Ali and published by John Wiley & Sons. This book was released on 2011-07-28 with total page 405 pages. Available in PDF, EPUB and Kindle. Book excerpt: "The Sabanes-Oxley Act has been one of the most significant developments in corporate and securities regulation since the New Deal. This collection of important articles would be a valuable resource for anyone seeking to understand Sabanes-Oxley's far-reaching effects on corporate governance in the United States and elsewhere." —Jesse Fried, coauthor of Pay Without Performance: The Unfulfilled Promise of Executive Compensation and Professor of Law at the University of California, Berkeley "The editors have assembled the latest cutting-edge research on international corporate governance by respected academics in this field. In this handbook, the editors deal with all aspects of the significant legislative changes to corporate governance regulation. It introduces the reader to the new rules that will certainly improve the reliability and the accuracy of disclosures made by corporations. The book comes at the right moment with the recent scandals such as Enron, which will educate all readers especially shareholders of corporate stock." —Komlan Sedzro, Professor of Finance, University of Quebec at Montreal "Today, corporate governance is a topic at the center of public policy debate in most industrialized countries. The range of concerns; the variety of approaches; and their tendency to converge in some areas or diverge in others (not always in the right directions) are emphatically demonstrated by these essays. There is material here of enormous interest for scholars of comparative law and economic regulation. And significantly, the presentation of essays from legal, financial, and regulatory viewpoints demonstrates the growing practical as well as theoretical utility of interdisciplinary work in this area. Professors Ali and Gregoriou are to be warmly congratulated for their skill and initiative in assembling an important publication, as well as for their own contributions to interdisciplinary scholarship." —R. P. Austin, BA, LLM (Sydney), DPhil (Oxon), Supreme Court of New South Wales "This very international collection emphasizes the economic line of descent, while including legal and socio-legal contributions. It fills a very important gap in our empirical knowledge of corporate governance. It is accessible and comprehensive and will greatly assist readers from all relevant disciplines, who are trying to discern the shape of corporate governance as a mature field." —Dimity Kingsford Smith, Professor of Law, University of New South Wales

Credit Risk Measurement

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Publisher : John Wiley & Sons
ISBN 13 : 0471274763
Total Pages : 337 pages
Book Rating : 4.4/5 (712 download)

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Book Synopsis Credit Risk Measurement by : Anthony Saunders

Download or read book Credit Risk Measurement written by Anthony Saunders and published by John Wiley & Sons. This book was released on 2002-10-06 with total page 337 pages. Available in PDF, EPUB and Kindle. Book excerpt: The most cutting-edge read on the pricing, modeling, and management of credit risk available The rise of credit risk measurement and the credit derivatives market started in the early 1990s and has grown ever since. For many professionals, understanding credit risk measurement as a discipline is now more important than ever. Credit Risk Measurement, Second Edition has been fully revised to reflect the latest thinking on credit risk measurement and to provide credit risk professionals with a solid understanding of the alternative approaches to credit risk measurement. This readable guide discusses the latest pricing, modeling, and management techniques available for dealing with credit risk. New chapters highlight the latest generation of credit risk measurement models, including a popular class known as intensity-based models. Credit Risk Measurement, Second Edition also analyzes significant changes in banking regulations that are impacting credit risk measurement at financial institutions. With fresh insights and updated information on the world of credit risk measurement, this book is a must-read reference for all credit risk professionals. Anthony Saunders (New York, NY) is the John M. Schiff Professor of Finance and Chair of the Department of Finance at the Stern School of Business at New York University. He holds positions on the Board of Academic Consultants of the Federal Reserve Board of Governors as well as the Council of Research Advisors for the Federal National Mortgage Association. He is the editor of the Journal of Banking and Finance and the Journal of Financial Markets, Instruments and Institutions. Linda Allen (New York, NY) is Professor of Finance at Baruch College and Adjunct Professor of Finance at the Stern School of Business at New York University. She also is author of Capital Markets and Institutions: A Global View (Wiley: 0471130494). Over the years, financial professionals around the world have looked to the Wiley Finance series and its wide array of bestselling books for the knowledge, insights, and techniques that are essential to success in financial markets. As the pace of change in financial markets and instruments quickens, Wiley Finance continues to respond. With critically acclaimed books by leading thinkers on value investing, risk management, asset allocation, and many other critical subjects, the Wiley Finance series provides the financial community with information they want. Written to provide professionals and individuals with the most current thinking from the best minds in the industry, it is no wonder that the Wiley Finance series is the first and last stop for financial professionals looking to increase their financial expertise.

SEC Docket

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Publisher :
ISBN 13 :
Total Pages : 1032 pages
Book Rating : 4.:/5 (31 download)

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Book Synopsis SEC Docket by : United States. Securities and Exchange Commission

Download or read book SEC Docket written by United States. Securities and Exchange Commission and published by . This book was released on 1982 with total page 1032 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Comparing Financial Systems

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Publisher : MIT Press
ISBN 13 : 9780262011778
Total Pages : 524 pages
Book Rating : 4.0/5 (117 download)

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Book Synopsis Comparing Financial Systems by : Franklin Allen

Download or read book Comparing Financial Systems written by Franklin Allen and published by MIT Press. This book was released on 2000 with total page 524 pages. Available in PDF, EPUB and Kindle. Book excerpt: Why do different countries have such different financial systems? Is one system better than the other? This text argues that the view that market-based systems are best is simplistic, and suggests that a more nuanced approach is necessary.

Financial Markets and Institutions Quiz PDF: Questions and Answers Download | BBA MBA Finance Quizzes Book

Download Financial Markets and Institutions Quiz PDF: Questions and Answers Download | BBA MBA Finance Quizzes Book PDF Online Free

Author :
Publisher : Bushra Arshad
ISBN 13 :
Total Pages : 69 pages
Book Rating : 4./5 ( download)

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Book Synopsis Financial Markets and Institutions Quiz PDF: Questions and Answers Download | BBA MBA Finance Quizzes Book by : Arshad Iqbal

Download or read book Financial Markets and Institutions Quiz PDF: Questions and Answers Download | BBA MBA Finance Quizzes Book written by Arshad Iqbal and published by Bushra Arshad. This book was released on with total page 69 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Book Financial Markets and Institutions Quiz Questions and Answers PDF Download (BBA MBA Finance Quiz PDF Book): Financial Analyst Interview Questions for Analysts/Freshers & Chapter 1-8 Practice Tests (Financial Markets Textbook Questions to Ask in Analyst Interview) includes revision guide for problem solving with hundreds of solved questions. Financial Markets and Institutions Interview Questions and Answers PDF covers basic concepts, analytical and practical assessment tests. "Financial Markets and Institutions Quiz Questions" PDF book helps to practice test questions from exam prep notes. The e-Book Financial Markets job assessment tests with answers includes revision guide with verbal, quantitative, and analytical past papers, solved tests. Financial Markets Quiz Questions and Answers PDF Download, a book covers solved common questions and answers on chapters: Bond markets, financial markets and funds, foreign exchange markets, introduction to financial markets, money markets, mortgage markets, security valuation, world stock markets tests for college and university revision guide. Financial Analyst Interview Questions and Answers PDF Download, free eBook’s sample covers beginner's solved questions, textbook's study notes to practice online tests. The Book Financial Markets Interview Questions Chapter 1-8 PDF includes high school question papers to review practice tests for exams. Financial Markets & Institutions Practice Tests, a textbook's revision guide with chapters' tests for CFP/CFA/CMA/CPA/CA/ICCI/ACCA competitive exam. Financial Markets Questions Bank Chapter 1-8 PDF book covers problem solving exam tests from BBA/MBA textbook and practical eBook chapter-wise as: Chapter 1: Bond Markets Questions Chapter 2: Financial Markets and Funds Questions Chapter 3: Foreign Exchange Markets Questions Chapter 4: Introduction to Financial Markets Questions Chapter 5: Money Markets Questions Chapter 6: Mortgage Markets Questions Chapter 7: Security Valuation Questions Chapter 8: World Stock Markets Questions The e-Book Bond Markets quiz questions PDF, chapter 1 test to download interview questions: Types of bonds, types of international bonds, treasury bonds, convertible bonds, corporate bonds, Brady and Sovereign bonds, bond market participant, bond market participants, bond market securities, bond markets definition, characteristics of bonds, convertible bond analysis, default risk, financial markets, foreign bonds, mortgage bond, municipal bonds, municipal bonds yields, stock warrants, trading process in bond markets, trading process, corporate bond, trading process, municipal bond, and treasury inflation protected securities. The e-Book Financial Markets and Funds quiz questions PDF, chapter 2 test to download interview questions: Financial markets, loanable funds demand, loanable funds, supply of loanable fund, default or credit risk, financial security, and time value of money. The e-Book Foreign Exchange Markets quiz questions PDF, chapter 3 test to download interview questions: Foreign exchange transactions, and inflation rates. The e-Book Introduction to Financial Markets quiz questions PDF, chapter 4 test to download interview questions: Financial markets, financial institutions and services, financial risk management, risk management and financial institutions, financial security, foreign exchange markets, money market and capital market, mortgage backed securities, primary versus secondary markets, and types of financial institutions. The e-Book Money Markets quiz questions PDF, chapter 5 test to download interview questions: Money market participants, money market securities, bankers' acceptance, bond markets definition, certificates of deposits, commercial paper, Eurodollar market, federal fund rate, federal funds, repurchase agreement, secondary market issues, and secondary market trading process. The e-Book Mortgage Markets quiz questions PDF, chapter 6 test to download interview questions: Mortgage backed securities, and primary mortgage markets. The e-Book Security Valuation quiz questions PDF, chapter 7 test to download interview questions: Security value, financial security, bond market securities, impact of financial maturity, maturity impact, and types of bonds. The e-Book World Stock Markets quiz questions PDF, chapter 8 test to download interview questions: Stock markets, primary and secondary stock markets, stock market index, caps floor and collars, common stock, derivative securities market, options in stock markets, preferred stock, stock market securities, swaps, option values, and types of trading.

The Monitor

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Publisher :
ISBN 13 :
Total Pages : 756 pages
Book Rating : 4.:/5 (31 download)

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Book Synopsis The Monitor by : M. A. Daly

Download or read book The Monitor written by M. A. Daly and published by . This book was released on 1914 with total page 756 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Size, Charter Value and Risk in Banking

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Publisher :
ISBN 13 :
Total Pages : 52 pages
Book Rating : 4.:/5 (318 download)

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Book Synopsis Size, Charter Value and Risk in Banking by : Gianni De Nicoló

Download or read book Size, Charter Value and Risk in Banking written by Gianni De Nicoló and published by . This book was released on 2000 with total page 52 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Handbook of Asset and Liability Management

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Publisher : Elsevier
ISBN 13 : 0080548563
Total Pages : 685 pages
Book Rating : 4.0/5 (85 download)

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Book Synopsis Handbook of Asset and Liability Management by : Stavros A. Zenios

Download or read book Handbook of Asset and Liability Management written by Stavros A. Zenios and published by Elsevier. This book was released on 2007-08-08 with total page 685 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Handbooks in Finance are intended to be a definitive source for comprehensive and accessible information in the field of finance. Each individual volume in the series presents an accurate self-contained survey of a sub-field of finance, suitable for use by finance and economics professors and lecturers, professional researchers, graduate students and as a teaching supplement. It is fitting that the series Handbooks in Finance devotes a handbook to Asset and Liability Management. Volume 2 focuses on applications and case studies in asset and liability management.The growth in knowledge about practical asset and liability modeling has followed the popularity of these models in diverse business settings. This volume portrays ALM in practice, in contrast to Volume 1, which addresses the theories and methodologies behind these models. In original articles practitioners and scholars describe and analyze models used in banking, insurance, money management, individual investor financial planning, pension funds, and social security. They put the traditional purpose of ALM, to control interest rate and liquidity risks, into rich and broad-minded frameworks. Readers interested in other business settings will find their discussions of financial institutions both instructive and revealing. * Focuses on pragmatic applications * Relevant to a variety of risk-management industries* Analyzes models used in most financial sectors