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Table of Contents
Chapter 1. Compliance with IAS 7 by Issuers of Listed Securities in the Czech Republic
Chapter 2. Emission Rights Reporting by Czech Companies
Chapter 3. Review of Models of Transitory Earnings
Chapter 4. Leading by Example: Are State Owned Enterprises Leaders of Corporate Social Responsibility? Evidence from Poland
Chapter 5. Reorganization in the Czech Republic
Chapter 6. Influence of Representation of Mezzanine Capital on the Rule of True and Fair View
Chapter 7. The Materiality in Financial Accounting: Theory and Practice
Chapter 8. Financial Reporting on Impairment of Non-Cash-Generating Assets by Public Sector
Chapter 9. Human Resource Accounting: The Football Sector
Chapter 10. Institutional Pressures Influencing Accounting Policy Choices: A Case Study of Australian Emission Market
Chapter 11. Good Corporate Governance Mechanism and Earnings Management: Study on Manufacturing Companies in Indonesia Stock Exchange
Chapter 12. Valuation of Plant Biological Assets on the Example of Rapeseed
Chapter 13. Is Bitcoin a Currency or an Investment? An IFRS View
Chapter 14. Socially Responsible Investments in Financial Statements of Polish Public Companies
Chapter 15. History of Budget Development According to People Responsible for Budget Planning in Poland
Chapter 16. The Concept of the Balanced Scorecard Implementation for the Polish City of Olsztyn
Chapter 17. An Analysis of the Influence of Mergers on the Economic Situation of a Successor Company in the Finance and the Insurance Sectors
Chapter 18. Investigation of Global Production Network via Network Analysis
Chapter 19. Non-Financial Information in Small and Medium-Sized Companies' Annual Reports: Evidence from the Czech Republic
Chapter 20. Development and Validation of a New Insurance Literacy Index for a County Spatial Econometric Analysis: Empirical Evidence on the Romanian Life Insurance Market
Chapter 21. Use of Adapted Particle Filters in SVJD Models
Chapter 22. Problems of the Banking System of the Russian Federation in Modern Conditions
Chapter 23. Individual Savings Accounts in Poland: Why Governments Did Not Nudge People to Make Savings Enough Strong?- Chapter 24. Diversification of Banking Activity and Its Importance in Building Financial Stability
Chapter 25. The Influence of General Strikes against Government on Stock Market Behavior
Chapter 26. Hedge Accounting During the Negative Interest Rate Environment by Insurance Companies
Chapter 27. Evaluation of the Impact of Credit Rating Agencies Decisions on the Market of Treasury Debt Securities
Chapter 28. The Importance of Timing in Estimating Beta
Chapter 29. Solvency Position of Insurers on Czech Market at Day-One Reporting
Chapter 30. Accounting Students and Employers Perceptions on Employability Skills in SEE Country
Chapter 31. Gamification in Management Education
Chapter 32. Expertise Fee Appreciation
Chapter 33. Real Estate Valuations and Contributions to the Economy in Turkey
Chapter 34. Should REIT Investors Be Concerned about Changing Economic Conditions?- Chapter 35. Consequences of the Arbitrage Dichotomy of Capital Allocation for the Construction of Opportunity Cost of Equity in Private Companies
Chapter 36. Dividend Payout Ratio and Tweedie Distribution
Chapter 37. Issuance of Brazilian Corporate Bonds Locally and Abroad: A Quasi-Natural Experiment in Brazil
Chapter 38. Relevant Market Determination in Business Damage Cases
Chapter 39. Real Estate Investment Funds Discount and Premium to NAV
Chapter 40. Earn-Outs: Mitigating Risk and Bridging Value Expectations in Mergers and Acquisitions
Chapter 41. Management Control Systems in Start-Ups as the Basis for Yield Potential
Chapter 42. Prediction of Bankruptcy in Georgian Enterprises
Chapter 43. Capital Structure Models Adjustments for Non Public Traded Companies
Chapter 44. Harmony, Hierarchy and Dividend Policy around the World
Chapter 45. Dividend Policy Explained by Standards of Living: An International Evidence
Chapter 46. Analysis of India Outbound FDI Determinants Using Gravity Model Approach
Chapter 47. Basel III Capital Requirements and Constraint of Credit Supply in Open Transition Economy
Chapter 48. Financial Resources Governance of Ukraine: Identification of Opportunities and Conditions for Improvement
Chapter 49. Corporate Credit-Spreads, Equity Trading Activities and Economic Growth
Chapter 50. The Negative Interest Rates: Evidence from Bulgaria
Chapter 51. Mentality Dimension of the Securities Market in Ukraine
Chapter 52. Effect of Tax Evasion on Economic Development of Yobe State, Nigeria
Chapter 53. Dynamics and Structural Development of Healthcare Expenditures in the Czech Republic
Chapter 54. Does the Shadow Economy Kuznets Curve Exist for Russian Regions?- Chapter 55. An Examination with the Panel Model (Public Debt in the V4).
Chapter 2. Emission Rights Reporting by Czech Companies
Chapter 3. Review of Models of Transitory Earnings
Chapter 4. Leading by Example: Are State Owned Enterprises Leaders of Corporate Social Responsibility? Evidence from Poland
Chapter 5. Reorganization in the Czech Republic
Chapter 6. Influence of Representation of Mezzanine Capital on the Rule of True and Fair View
Chapter 7. The Materiality in Financial Accounting: Theory and Practice
Chapter 8. Financial Reporting on Impairment of Non-Cash-Generating Assets by Public Sector
Chapter 9. Human Resource Accounting: The Football Sector
Chapter 10. Institutional Pressures Influencing Accounting Policy Choices: A Case Study of Australian Emission Market
Chapter 11. Good Corporate Governance Mechanism and Earnings Management: Study on Manufacturing Companies in Indonesia Stock Exchange
Chapter 12. Valuation of Plant Biological Assets on the Example of Rapeseed
Chapter 13. Is Bitcoin a Currency or an Investment? An IFRS View
Chapter 14. Socially Responsible Investments in Financial Statements of Polish Public Companies
Chapter 15. History of Budget Development According to People Responsible for Budget Planning in Poland
Chapter 16. The Concept of the Balanced Scorecard Implementation for the Polish City of Olsztyn
Chapter 17. An Analysis of the Influence of Mergers on the Economic Situation of a Successor Company in the Finance and the Insurance Sectors
Chapter 18. Investigation of Global Production Network via Network Analysis
Chapter 19. Non-Financial Information in Small and Medium-Sized Companies' Annual Reports: Evidence from the Czech Republic
Chapter 20. Development and Validation of a New Insurance Literacy Index for a County Spatial Econometric Analysis: Empirical Evidence on the Romanian Life Insurance Market
Chapter 21. Use of Adapted Particle Filters in SVJD Models
Chapter 22. Problems of the Banking System of the Russian Federation in Modern Conditions
Chapter 23. Individual Savings Accounts in Poland: Why Governments Did Not Nudge People to Make Savings Enough Strong?- Chapter 24. Diversification of Banking Activity and Its Importance in Building Financial Stability
Chapter 25. The Influence of General Strikes against Government on Stock Market Behavior
Chapter 26. Hedge Accounting During the Negative Interest Rate Environment by Insurance Companies
Chapter 27. Evaluation of the Impact of Credit Rating Agencies Decisions on the Market of Treasury Debt Securities
Chapter 28. The Importance of Timing in Estimating Beta
Chapter 29. Solvency Position of Insurers on Czech Market at Day-One Reporting
Chapter 30. Accounting Students and Employers Perceptions on Employability Skills in SEE Country
Chapter 31. Gamification in Management Education
Chapter 32. Expertise Fee Appreciation
Chapter 33. Real Estate Valuations and Contributions to the Economy in Turkey
Chapter 34. Should REIT Investors Be Concerned about Changing Economic Conditions?- Chapter 35. Consequences of the Arbitrage Dichotomy of Capital Allocation for the Construction of Opportunity Cost of Equity in Private Companies
Chapter 36. Dividend Payout Ratio and Tweedie Distribution
Chapter 37. Issuance of Brazilian Corporate Bonds Locally and Abroad: A Quasi-Natural Experiment in Brazil
Chapter 38. Relevant Market Determination in Business Damage Cases
Chapter 39. Real Estate Investment Funds Discount and Premium to NAV
Chapter 40. Earn-Outs: Mitigating Risk and Bridging Value Expectations in Mergers and Acquisitions
Chapter 41. Management Control Systems in Start-Ups as the Basis for Yield Potential
Chapter 42. Prediction of Bankruptcy in Georgian Enterprises
Chapter 43. Capital Structure Models Adjustments for Non Public Traded Companies
Chapter 44. Harmony, Hierarchy and Dividend Policy around the World
Chapter 45. Dividend Policy Explained by Standards of Living: An International Evidence
Chapter 46. Analysis of India Outbound FDI Determinants Using Gravity Model Approach
Chapter 47. Basel III Capital Requirements and Constraint of Credit Supply in Open Transition Economy
Chapter 48. Financial Resources Governance of Ukraine: Identification of Opportunities and Conditions for Improvement
Chapter 49. Corporate Credit-Spreads, Equity Trading Activities and Economic Growth
Chapter 50. The Negative Interest Rates: Evidence from Bulgaria
Chapter 51. Mentality Dimension of the Securities Market in Ukraine
Chapter 52. Effect of Tax Evasion on Economic Development of Yobe State, Nigeria
Chapter 53. Dynamics and Structural Development of Healthcare Expenditures in the Czech Republic
Chapter 54. Does the Shadow Economy Kuznets Curve Exist for Russian Regions?- Chapter 55. An Examination with the Panel Model (Public Debt in the V4).