Corporate Performance and the Exposure to Macroeconomic Fluctuations

Corporate Performance and the Exposure to Macroeconomic Fluctuations
Author: Lars Oxelheim,Clas Wihlborg
Publsiher: Unknown
Total Pages: 313
Release: 2005
Genre: Electronic Book
ISBN: 9172976969

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Corporate Decision Making with Macroeconomic Uncertainty

Corporate Decision Making with Macroeconomic Uncertainty
Author: Lars Oxelheim,Clas Wihlborg
Publsiher: Oxford University Press on Demand
Total Pages: 255
Release: 2008-09-26
Genre: Business & Economics
ISBN: 9780195335743

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This book offers the essential elements of a corporate strategy for managing uncertainty in the macroeconomic environment. This strategy enhances firm value by allowing management and external stakeholders to distinguish between changes in the intrinsic competitiveness of the firm and changes in performance caused by macroeconomic fluctuations.--Résumé de l'éditeur.

Managing in the Turbulent World Economy

Managing in the Turbulent World Economy
Author: Lars Oxelheim,Clas G. Wihlborg
Publsiher: Wiley
Total Pages: 0
Release: 1997-08-29
Genre: Business & Economics
ISBN: 0471974749

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The strategic importance of risk-management is a concern at the forefront of most organisations. Increasingly, uncertainty about macroeconomic environment of the firm is a major concern. It is essential for top management to formulate new strategies to deal with such uncertainty (in terms of uncertainty about exchange rates, interest rates, prices etc.) as traditional financial management is not sufficient. This book deals with the broad management issues related to the uncertain environment in which we operator. The authors look at industry-analysis in order to assess competitiveness based on firms' intrinsic skills.

Corporate Performance and the Exposure to Macroeconomic Fluctuations

Corporate Performance and the Exposure to Macroeconomic Fluctuations
Author: Lars Oxelheim,Clas Wihlborg
Publsiher: Unknown
Total Pages: 298
Release: 2005
Genre: Business & Economics
ISBN: IND:30000116821871

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Corporate Decision Making with Macroeconomic Uncertainty

Corporate Decision Making with Macroeconomic Uncertainty
Author: Lars Oxelheim,Clas Wihlborg
Publsiher: Oxford University Press
Total Pages: 256
Release: 2008-09-26
Genre: Business & Economics
ISBN: 9780190450571

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Macroeconomic turbulence and volatility in financial markets can fatally affect firm's performance. Very few firms make serious attempts to inform market participants and other outsider stakeholders about the impact of macroeconomic fluctuations--manifested as changes in exchange rates, interest rates, inflation rates and stock market returns-- on performance. These stakeholders, as well as financial analysts, must make their own assessments but they generally lack both the required tools and the information to do so. Worse, top management in most firms do not themselves possess the tools to identify whether a change in performance represents a change in the firm's intrinsic competitiveness or a reflection of macroeconomic conditions outside their influence. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management develops and presents in an easily comprehensible way the essential elements of a corporate strategy for managing uncertainty in the macroeconomic environment. This Macroeconomic Uncertainty Strategy, or MUST, enhances firm value by allowing management and external stakeholders to become better informed about the development of corporate competitiveness in a turbulent macroeconomic environment. The MUST also provides guidelines for how to develop a successful risk management program. This research based book includes methods to identify the impact of macroeconomic fluctuations on cash flows and value, to develop strategies for macroeconomic risk management, to provide informative reports to external stakeholders, to evaluate the relative performance of subsidiaries and business units in multinational companies, and to evaluate performance for purposes of setting executive compensation and of fulfilling the due diligence requirements in an M & A context. The authors' use of value-based management, various performance measurements, the concept of real options, and risk management from the perspective of shareholder wealth maximization, makes the book rich and compelling. They address researchers and students in the field of international business, finance and corporate governance. On the business side, executives with strategic responsibilities, chief financial officers, and bankers who analyze corporate performance and give advice on risk management will benefit from reading this book.

Bank Stability Sovereign Debt and Derivatives

Bank Stability  Sovereign Debt and Derivatives
Author: J. Falzon
Publsiher: Springer
Total Pages: 553
Release: 2013-10-30
Genre: Business & Economics
ISBN: 9781137332158

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The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.

Markets and Compensation for Executives in Europe

Markets and Compensation for Executives in Europe
Author: Lars Oxelheim,Clas G. Wihlborg
Publsiher: Emerald Group Publishing
Total Pages: 441
Release: 2008-05-15
Genre: Business & Economics
ISBN: 9780080557380

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The increasing amounts of money paid out in compensation to corporate executives have become the subject of a heated public policy debate on both sides of the Atlantic. This book covers a wide range of issues, including: corporate law and regulation in the area of corporate governance; and, prosperity and growth effects of compensation contracts.

The Oxford Handbook of International Business

The Oxford Handbook of International Business
Author: Alan M. Rugman
Publsiher: OUP Oxford
Total Pages: 880
Release: 2010-08-26
Genre: Business & Economics
ISBN: 9780191615665

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As globalization explodes, so has international business scholarship. This second edition of the Oxford Handbook of International Business synthesises all the relevant literature of the last 40 years in 28 original chapters by the world's most distinguished scholars. Reflecting the changes and development in the field since the first edition this new edition has a changed structure, all the chapters have been updated to take account of the latest scholarship, and five new chapters freshly written. The Handbook is divided into six major sections, providing comprehensive coverage of the following areas: · History and Theory of the Multinational Enterprise · The Political and Regulatory Environment · Strategy and International Management · Managing the MNE · Area Studies · Methodological Issues These state of the art literature reviews will be invaluable references for students in business schools, social sciences, law, and area studies.