Cryptocurrencies and crypto-assets in the Italian and EU perspective
The article presents the first critical analysis of the approach used by EU regulators and courts, in relation to cryptoactivity. The purpose of the analysis - is to see if a new European regulation on encrypted financial services is really born.
Подобные документы
The role of government regulation of the financial services market in Ukraine, the causes and the necessity of delegating more powers to the regional level. Algorithm of differentiation of functions of state management in the financial services market.
статья, добавлен 28.09.2016Overview of global financial assets, the dynamics of their changes in the system of international finance in the context of the global transformation of the financial architecture. Components of financial assets inherent in the domestic financial system.
статья, добавлен 20.07.2024Interventionist trends in financial regulation. Cases and regulatory frameworks of extraterritorial sanctions resulting in fines. Analysis of regulatory components: category, mode, and geographical scale. Components and patterns of regulatory conflicts.
дипломная работа, добавлен 29.11.2015The role of cryptocurrencies in the transformation of financial systems. The state of cryptocurrencies in the CIS countries: impact on banking systems, advantages and problems. Creation of a reliable regulatory environment and educational programs.
статья, добавлен 10.10.2024Substantiation of necessity of financial analysis, on the example of a commercial firm. The role of analysis for raising capital in the company. Development of recommendations to improve the external and internal financing and increase your profits.
контрольная работа, добавлен 16.10.2013The role of credit unions as agents of local economic development and their commitment to providing financial services. Their contribution to the financial inclusion and economic development in Poland according to the approach of regional analysis.
статья, добавлен 04.09.2024Components of international financial centre regime. Classifications of international financial centres. Tax policy significance and its implications for Russia. Analysis of a relationship between a tax regime and FDI. Macroeconomic stability analysis.
дипломная работа, добавлен 17.07.2020An analysis of different approaches to the disclosure of the terms "revaluation" and "underestimation" of financial indicators that are often used in relation to stock markets. A number of alternative financial evaluation criteria, such as: dividends.
статья, добавлен 01.09.2018Study of the theoretical and methodological foundations for the formation of a functional strategy for financial analysis. Directions for improving the usefulness of financial analysis techniques for their adaptation to the needs of the management system.
статья, добавлен 17.06.2024Reduce total costs of goods and services as one of the essential thing in the implementation of cost-leadership strategy. Characteristics of the general scheme of different indicators evaluation in the process of the financial condition analysis.
статья, добавлен 26.09.2016Analysis of the factors of efficiency in the provision of public services. Ways to optimize taxation for the development of this area. Ways to improve the redistribution of financial resources to improve the efficiency of the provision of public goods.
статья, добавлен 30.11.2020Contents of the concept of financial stability (FB) of the organization. Assessment of the FB of agricultural organizations, along with the use of the proposed integral assessment of FB. Factor analysis of the coefficients of financial independence.
статья, добавлен 21.06.2018The article is focused on the legal analysis of the current stage of the development of the international financial system. The basic forms, principles, and standards of interaction of the subjects of the international financial system are studied.
статья, добавлен 18.08.2022Analysis of models of determining the market value of a business. Research on the pricing of financial assets. Ways to increase the reliability of the accuracy of monetary valuation results. The search for the optimal ratio of equity and debt capital.
статья, добавлен 10.10.2024Review of financial results, cost indicators, market capitalization of production, liquidity of the balance of agricultural holdings by the criterion of assets and liabilities. Diagnosis of the probability of bankruptcy using different models of analysis.
статья, добавлен 15.12.2020Regression analysis of panel data, which was performed using GRETL software, was chosen as the main research method for analyzing the impact of determinants on financial performance indicators. Features of using four different dependent variables.
статья, добавлен 23.05.2023The influence of Brexit on the financial markets through the media coverage. Application of the social media analysis to such unique event. Econometric analysis of daily returns of FTSE and DJA with number of publications as one of exogenous variables.
дипломная работа, добавлен 07.09.2018The theoretical aspects of Netflix functioning. Netflix business model, financial structure and earnings and investment statistics, organizational structure are analyzed. Comprehensive analysis of the company's work was performed using different methods.
курсовая работа, добавлен 25.01.2021The analysis of the total revenues dynamics of the European Union budget was made and the trend line was built using of the functions available for the stated purpose. The author analyzed the size of the EU budget as percentage of Gross National Income.
статья, добавлен 29.09.2022- 20. Assessing investment attractiveness of commercial medical organization based on financial modelling
To design the valuation methodology of a commercial medical company "Mother and Child" based on DCF approach which includes ESG factors, risks of the specific sector of economy, financial analysis and modeling, recommendations for decision making.
статья, добавлен 09.03.2023 Analysis of the financial position of the world's biggest companies. Evaluation of the changes in the prices of their securities in the short and long term. Identify the factors that influence their dynamics. Forecasting profit without option price.
статья, добавлен 16.06.2014Bank loans as the main financial instruments of the enterprise. Control market danger exposures within acceptable parameters, while optimising returns - one of the objective of risk management. Profitability analysis of United Company "RUSAL" PLC.
презентация, добавлен 26.06.2016Valuation of the company's capital assets. Advantages of conducting financial transactions based on blockchain technology. Increasing the efficiency of management of the organization's capital cost. Analysis of real options and discounted cash flows.
статья, добавлен 11.12.2023Determination of the place and role of non-bank financial institutions in the development of the financial services market. Development of special systems of insurance and protection against financial risks. Increase in the return on loan capital.
статья, добавлен 08.09.2020Analyzed approaches to the financial management of the business and its interdependence with investment analysis and marketing activities of enterprises in modern conditions of development. Investigated basic indicators of efficiency of investments.
статья, добавлен 24.11.2020