Financial sector assessment

The financial structure, development and sustainability. The width of the financial system. Capital account liberalization. Legal, informational and transactional technological infrastructure for access and development. Terms securities settlement.

Подобные документы

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    курсовая работа, добавлен 22.01.2016

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  • Recourse to the private sector capital to complete public investment projects for which there were insufficient funds in the public budget. Numerous benefits private sector (technical expertise, risk transfer, costs reduction and time for implementation).

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  • Components 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.

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  • Notion and functions, Structure, Financial, Payment Instruments of Money Market. Instruments of payment of market of money and their role are in realization of redistribution and motion of resources of money. Main segments of Kazakhstan bankrolls market.

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    дипломная работа, добавлен 07.09.2018

  • Low quality of reporting in Asia compared to developed markets - the main incentives for investment in the financial sector in the region. Cash accounting - the methodology of recording transactions only if the real cash flows in or out of the firm.

    курсовая работа, добавлен 16.11.2015

  • 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 28.09.2016

  • Reduce 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 26.09.2016

  • Methods of the study significant changes in the flows of financial data. The differences between chaotic and stochastic systems. Features and ways of calculating the correlation dimension of the time series. Methods and algorithms of analysis programs.

    дипломная работа, добавлен 30.08.2016

  • Decentralization reform to increase the revenue side of local budgets and strengthen the financial and resource base of the regions, improve the use of intergovernmental transfers. The problems of formation and use of financial resources of the region.

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  • Why do companies hedge the different proportion of their production. Significant variation of companies' behavior means. The factors that determine hedging activities. The financial distress costs reduction and optimizing of investment financing.

    дипломная работа, добавлен 23.09.2018

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  • Evaluation of the effectiveness of the modern company in various aspects, its competitiveness and growth opportunities, absolute profit figures. Calculation of indicators of relative profitability. Assessment of the financial position of the company.

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  • Analysis of existing models for identifying the optimal debt structure. Identify and analyze the factors and risks that can determine and mitigate the capital structure. Development of a debt management model for optimizing the capital structure.

    магистерская работа, добавлен 18.11.2017

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