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Year of publication
Subject
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Risk management 59 Banking 36 Risk 32 Financial reporting 28 Accounting standards 18 Corporate governance 16 Liquidity 15 Assets management 13 Hedging 13 Financial institutions 12 Financial services 12 Regulation 11 Credit 10 Regulations 10 Derivatives 9 EG-Staaten 9 Insurance 9 Investment 9 Management 9 USA 9 EU countries 8 EU-Staaten 8 Finance 8 Liability 8 UdSSR 8 Ukraine 8 Balance sheets 7 Banks 7 International economic policy 7 Internationale Wirtschaftspolitik 7 Banking industry 6 Globalization 6 Schweden 6 Sweden 6 Accounting 5 Audit 5 Disclosure 5 Financial risk 5 International accounting 5 Internet 5
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Online availability
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Undetermined 271
Type of publication
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Article 321 Book / Working Paper 14 Journal 1
Type of publication (narrower categories)
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non-article 82 research-article 58 review-article 44 technical-paper 21 Aufsatz im Buch 18 Book section 18 case-report 18 viewpoint 15 conceptual-paper 8 Graue Literatur 3 Non-commercial literature 3
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Language
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English 272 Undetermined 62 French 2
Author
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Goldsmith, Raymond W. 35 Lipsey, Robert E. 27 Bruce, Robert 20 Robinson, Bill 14 Mendelson, Morris 11 Mainelli, Michael 9 Damant, David 6 Leitch, Matthew 6 Cookson, Richard 4 Linsenmann, Ingo 4 Mariathasan, Joseph 4 Meyer, Christoph O. 4 Mundy, Chris 4 Yee Chong, Yen 4 Brown, Karl 3 Kubitscheck, Vicky 3 McCaig, Malcolm 3 Moloney, James 3 Wessels, Wolfgang 3 Wilson, Arlette 3 Ashenhurst, John 2 Bittlestone, Robert 2 Byrne, Jim 2 Carey, Anthony 2 Chisnall, Paul 2 Davies, Howard 2 Edvinsson, Rodney 2 Fiedler, Robert 2 Fregert, Klas 2 Garside, Thomas 2 Goldsmith, Raymond William 2 Hale, Kari 2 Haynes Daniell, Mark 2 Helliar, Christine 2 Jacobsson, Kerstin 2 Kyte, Abby 2 Le Cacheux, Jacques 2 Melse, Eric 2 Merrell, Caroline 2 Power, David 2
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Institution
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Associated Society of Locomotive Engineers and Firemen 2 Chancellor of the Exchequer 2 Grossbritannien / Treasury 2 Institute for International Economics 2 Forsikeringsaktieselskabet Nye Danske Liv <Kopenhagen> 1 Grossbritannien / National Physical Laboratory 1 Treasury Chambers 1
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Published in...
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Balance Sheet 246 Studies in the National Balance Sheet of the United States, Volume 1 15 Economic government of the EU : a balance sheet of new modes of policy coordination 11 Le Parlement européen à la veille de la deuxième élection au suffrage universel direct : bilan et perspectives; actes du colloque organisé par le Collège d'Europe ..., (Bruges, les 16, 17 et 18 juin 1983) : balance sheet and prospects 10 Studies in the National Balance Sheet of the United States, Volume 2 10 The National Balance Sheet of the United States, 1953–1980 10 The Ukraine within the USSR : An economic balance sheet 10 House prices, stock returns, national accounts, and the Riksbank balance sheet, 1620 - 2012 7 The globalization balance sheet series 3 A first balance sheet of the United Nations 2 Cmd. 2 Studies in capital formation and financing 2 Annual account and balance sheet 1 Balance sheet 1
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Source
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Other ZBW resources 246 ECONIS (ZBW) 52 RePEc 35 USB Cologne (EcoSocSci) 3
Showing 131 - 140 of 336
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Financial risk management: is it a value‐adding activity?
Fairchild, Richard - In: Balance Sheet 10 (2002) 4, pp. 22-25
Considers whether financial risk management is value‐adding. Although risk management can reduce total risk, this may not affect the cost of capital or firm value. Well‐diversified investors have already eliminated all of the specific risk, and risk‐management may be seen as a zero NPV...
Persistent link: https://www.econbiz.de/10014689087
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Behaviour‐based risk management systems: Reducing costs by changing attitudes
Hammond, Mike - In: Balance Sheet 10 (2002) 4, pp. 26-28
The drive to eliminate losses leads to greater emphasis on risk‐control measures. Argues that risk management can be transformed through the use of behaviour‐based risk management techniques.
Persistent link: https://www.econbiz.de/10014689088
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Asset management: equities demystified
Acharya, Shanta - In: Balance Sheet 10 (2002) 4, pp. 29-34
In this series of extracts from the concluding chapter of Acharya’s book, Asset Management: Equities Demystified, the author argues that the major factor in future developments will be legislation and regulation. But she suggests that ultimately knowledge management will be the crucial...
Persistent link: https://www.econbiz.de/10014689089
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A revolution in financial reporting
Damant, David - In: Balance Sheet 10 (2002) 1, pp. 4-7
The nature of reported financial performance and financial disclosure is undergoing a dramatic change. The author argues that the issue of accounting for financial instruments and its emphasis on fair values goes to the heart of the problem. He argues that the thoughts provided by the AIMR...
Persistent link: https://www.econbiz.de/10014689090
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Fair value for financial instruments – where to next?
Hague, Ian - In: Balance Sheet 10 (2002) 1, pp. 8-11
Proposals for fair value measurement of all financial instruments in company financial statements have been subject to significant criticism. This article reviews the responses to the latest international proposals – those of the “Financial Instruments Joint Working Group of standard...
Persistent link: https://www.econbiz.de/10014689091
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Financial instruments: fair values and disclosure
In: Balance Sheet 10 (2002) 1, pp. 12-19
This is an edited text of the response submitted by the Financial Instruments Task Force of the Association for Investment Management and Research to the International Accounting Standards Board in response to the Joint Working Group Draft Standard and Basic Conclusions dated 22 December 2000....
Persistent link: https://www.econbiz.de/10014689092
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Accounting for financial instruments under IAS: The European dimension
Moore, Richard - In: Balance Sheet 10 (2002) 1, pp. 20-23
The proposals on accounting for financial instruments developed by the Joint Working Group look as though they will take several years to sort out. In the meantime listed companies in Europe have to report under international standards by the year 2005. The author looks at how companies, and in...
Persistent link: https://www.econbiz.de/10014689093
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Credit derivatives: regulating in the jungle
Hitchins, John; Davies, Jonathan; Rivett, Phil; Hogg, … - In: Balance Sheet 10 (2002) 1, pp. 27-32
The credit derivatives market is both fast‐growing and increasingly complex. This brings problems for banks and the infrastructure needed to support such products. There are also sophisticated questions of regulation. The authors bring a wealth of experience to bear on the topic and suggest a...
Persistent link: https://www.econbiz.de/10014689094
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Accounting for hedges: foreign currency exposures
Wilson, Arlette; Heitger, Dan - In: Balance Sheet 10 (2002) 1, pp. 33-38
Accounting for foreign currency hedges has become a fiercely complicated procedure. At a time when financial institutions are having to alter disclosure methods, the authors provide a practical guide to dealing with each type of hedging procedure.
Persistent link: https://www.econbiz.de/10014689095
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Liquidity risk: what lessons can be learnt from the crisis in Japan’s banking system?
Fiedler, Robert; Brown, Karl; Moloney, James - In: Balance Sheet 10 (2002) 1, pp. 38-42
With the need to expel huge amounts of non‐performing loans from their balance sheets, their share prices sinking and their credit ratings lowered, Japan’s banks are struggling to raise new capital and may face collapse. But the current crisis could have been avoided. If they had implemented...
Persistent link: https://www.econbiz.de/10014689096
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