Intergas Central Asia
General Characteristics of JSC "Intergas Central Asia". Financial risks. Vision and purpose of the JSC "Intergas Central Asia". Organizational structure. Analysis of key markets and Analysis of Financial Statements. Financial and economic indicators.
Подобные документы
- 1. Analysis of socio-economic development of regions after the first stage of decentralization reform
Analyzes the impact of the decentralization reform on the financial and economic indicators of the region and the country in general from the moment the reform began until. Consideration and characteristics changes in the revenues of local budgets.
статья, добавлен 26.12.2023 The purpose the author's scientific article is to improve the methodology and analysis the financial and economic security of agribusiness in Ukraine in order to identify problematic aspects and justify the political measures necessary to strengthen it.
статья, добавлен 16.01.2024Characteristics of state building on the example of Yemen, Iraq, Pakistan and other states of Central Asia. Characteristics of maintaining the economic stability of the state. An analysis of the difficulties in recognizing such countries is legitimate.
статья, добавлен 28.01.2017Implementation of a broad policy of liberalization in relation to foreign investments, including in relation to direct foreign investments. Analysis of the direction of financial flows in the directions of economic development of the national economy.
статья, добавлен 20.07.2024The assessment of regional concentration of world capital exports and imports, allocation of financial assets, geographic structure of stock, bond and foreign exchange markets is conducted. Provide the best economic conditions for dealing operations.
статья, добавлен 30.10.2016Using the Hirst exponent to assess the effectiveness of financial markets. Analysis of the Russian financial market. Testing of hypotheses about the efficiency of markets calm and crisis periods. Predicting the impending crisis using the Hurst indicator.
дипломная работа, добавлен 01.09.2017А dependence between financial leverage and competition interested scholar since late 80s. The relationship between capital structure (measured as debt ratio) and market competition (measured as HHI index). Unbalanced dataset for years from 1998 to 2017.
дипломная работа, добавлен 27.08.2018The content and purpose of financial reporting for purpose assessing the state of economic security. The application of international standards to obtain reliable and transparent financial information about external and internal market participants.
статья, добавлен 10.10.2024The purpose of the article is to substantiate the expediency of implementing a financial controlling system at the enterprise in modern business conditions. The article developed a system of balanced indicators for "HSMEP" LLC. Based on the analysis.
статья, добавлен 24.02.2024Analysis of the impact of foreign investment on the economic and industrial development of the new industrial countries of Southeast Asia, involved in the second wave of industrialization. The role of SEZ as tool for attracting foreign investment.
статья, добавлен 25.06.2024- 11. Bibliographic Analysis of the Reference Sources on Accounting and Control of Financial Investments
The subjects and areas of scientific research on the integration and control of financial investments. The definition of the nature and characteristics of financial investments, tasks of accounting and control. The management of financial investments.
статья, добавлен 26.08.2016 Description of the crisis of financial markets and the economic downturn after the war with Georgia. The study of tax reform policies of the state budget, consumer price inflation and bank failures. Characteristics of food and metallurgical industries.
реферат, добавлен 15.12.2010Impact of monetary policy of the European Central Bank, the Federal Reserve System and the Bank of Japan on the Ukrainian economy. Assessment of the impact of unconventional monetary policy of the ECB, FRS and Bank of Japan on the financial performance.
статья, добавлен 21.10.2020The check for bubble driven by investors with extrapolative expectations. Adjusted weights of value, growth signals. New model of expectation formation. Empirical analysis. Noise trader risk in financial markets. Contrarian investment and extrapolation.
курсовая работа, добавлен 11.02.2017Clustering financial time series: an application to mutual funds style analysis. Clustering stock market data for portfolio management. Relation between financial market structure and the real economy. Correlation clustering in general weighted graphs.
статья, добавлен 10.05.2018The economic nature, composition of financial resources of enterprises and their importance. The sources of formation of financial resources of enterprises are outlined. The dynamics of the composition and structure of financial resources of enterprises.
статья, добавлен 22.02.2021Characteristic of economic changes in Russia since the collapse of the Soviet Union. Analysis of the Asian financial crisis and its negative impact on the Russian economy. Study of factors of stable economic growth. Analysis of economic program 2007.
презентация, добавлен 24.05.2016Analysis of internal and external environment of Starbucks. Its place in the retail market for coffee and snacks. Assessment of industry demand determinants and of the factors influencing profit. Economic and financial analysis of the Corporation.
статья, добавлен 28.11.2016Analysis of indicators of sugar producers of the Czech Republic for 2007-2011, which are compared to similar indicators of food producers. Benchmarking as the main method in the analysis of financial indicators. Model trade of the Czech Republic.
статья, добавлен 28.09.2016The impact of the global financial crisis on the unpredictability of fluctuations on the stock exchanges and bankruptcy of banks. The emergence of new economic forms of development that reduce the unpredictability of financial market development.
статья, добавлен 04.08.2017Monitoring the financial condition of companies. Prevention of economic crimes and fraud. Risk assessment in the commercial field, the search for mechanisms of conducting investigations of corruption. Ensuring the stability development of the business.
статья, добавлен 16.06.2024The international financial markets open to enterprises and the macro-economic factors affecting those markets. The employment relationship versus the mutual investment approach: implications for human resource management. The development of new markets.
статья, добавлен 23.12.2020Analysis of the Fortal Declaration and the environment of global financial and credit institutions, including the BRICS of the New Development Bank. Aspects of overcoming the economic imbalances and risks of the BRICS countries in decision-making.
статья, добавлен 23.02.2017The financial of the private business activity in the years of new economic policy. Involvement of private capital in the economy of the country is revealed on the basis of analysis of its participating in passives and assets of the credit system.
статья, добавлен 30.12.2018Analysis of the internal control system as a system that includes internal control measures in the company, ensuring the reliability of financial statements. The influence of ICS on the indicator of the company's value in the form of Tobin coefficient.
курсовая работа, добавлен 28.11.2019