Global Business Strategies in Crisis : Strategic Thinking and Development / / edited by Ümit Hacioğlu, Hasan Dinçer, Nihat Alayoğlu |
Edizione | [1st ed. 2017.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 |
Descrizione fisica | 1 online resource (XXI, 428 p. 31 illus., 21 illus. in color.) |
Disciplina | 658.4012 |
Collana | Contributions to Management Science |
Soggetto topico |
Leadership
Organization Planning Personnel management Risk management Business Strategy/Leadership Human Resource Management Risk Management |
ISBN | 3-319-44591-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Section I -- Chapter 1 Institutional Approach to Strategic Management during Crisis -- Chapter 2 Economic Approach to Strategic Decisions Murat Aslan -- Chapter 3 Leading the Strategic Decision-Making Process: Conceptual Frameworks -- Chapter 4 Building Organizational Insight: Strategy & Organization -- Chapter 5 Strategies out of Global Recession in Emerging Markets: An Application for 2008 Global Crisis -- Chapter 6 Designing Strategic Alternatives for Global Operations -- Section II -- Designing Competitive Strategies, Leadership and Culture during Recession -- Chapter 7 Building Competitive Strategies and Managing Stakeholder Relations -- Chapter 8 Human Side of Strategic Alliances, Cooperations and Maneuverings during Recession and Crisis -- Chapter 9 The Role of Organizational Identity on Strategic Management Applications -- Chapter 10 The Importance of Trust for Partnership and Collaboration in Volatile Economic Conditions -- Chapter 11 Complexity and Crisis Call For Shared Leadership and Empowered Teams -- Section III: Strategic Entrepreneurship, Innovation and Design -- Chapter 12 Establishing an Innovation Culture and Strategic Entrepreneurship -- Chapter 13 Strategies for Innovative Organizational Structure: Innovative Culture and Open Innovation -- Chapter 14 Building Innovative Strategies for the Competitiveness of Family Firms in Emerging Markets -- Chapter 15 Innovative Processes in New Product and Service Development -- Chapter 16 Increasing Strategic Competitiveness through Innovation: The Finance Perspective -- Chapter 17 Economic Growth and Dynamic R&D Investment Behaviour -- Section IV: Managing Risks through Adaptive Strategies and Decision Systems during Crisis -- Chapter 18 Risk Management Practices in Strategic Management -- Chapter 19 Reducing Risk through Strategic Flexibility and Implementation of Leadership in High Velocity Markets -- Chapter 20 er 21 The Formulation of Strategies to Mitigate Supply Risks -- Section V: Evaluation of Firm Performance, Financial Efficiency and Managerial Control -- Chapter 22 Applying Data Envelopment Analysis to Evaluate Firm Performance -- Chapter 23 Efficiency and Managerial Control in Financial Institutions -- Chapter 24 Examining Financial Innovation and Performance in Financial Sector: A Comprehensive Review of Emerging Markets -- Chapter 25 The Impact of Selected Firm Features on Sales Growth: Empirical Evidence from S&P 500 -- Chapter 26 Determinants of Working Capital in Emerging Markets: Do Economic Developments Matter? -- Chapter 27 Liquidity Position and Working Capital Adequacy of Companies in Turkey: Outlook from Industry Financial Statements -- Chapter 28 Determinants of Corporate Cash Holdings: Firm Level Evidence from Emerging Markets -- Author Bios -- Index. |
Record Nr. | UNINA-9910155307903321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 | ||
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Lo trovi qui: Univ. Federico II | ||
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Global Financial Crisis and Its Ramifications on Capital Markets : Opportunities and Threats in Volatile Economic Conditions / / edited by Ümit Hacioğlu, Hasan Dinçer |
Edizione | [1st ed. 2017.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 |
Descrizione fisica | 1 online resource (XIX, 659 p. 113 illus., 104 illus. in color.) |
Disciplina | 332.0415 |
Collana | Contributions to Economics |
Soggetto topico |
Macroeconomics
International economics Capital market Trade Business Commerce Finance, Public Entrepreneurship Macroeconomics/Monetary Economics//Financial Economics International Economics Capital Markets Public Finance |
ISBN | 3-319-47021-3 |
Classificazione | JEL.E4.4 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Section I. 2008-2009 Financial Crisis, International Financial Institutions and Regulation -- Chapter 1. The 2008-2009 Financial Crisis in Historical Context -- Chapter 2. Global Economy at Turmoil -- Chapter 3. International Financial Centers after the 2008-2009 Global Financial Crisis -- Chapter 4. Economic Crisis and the Changes in Functioning of International Financial Institutions: The Case of European Developing Countries -- Chapter 5. Deindustrialization, Public Debts and Euro Crisis -- Chapter 6. Public debt management in developed economies during the crisis -- Chapter 7. Fiscal Framework Changes in European Monetary Union Before and After Sovereign Debt Crisis -- Chapter 8. The Impact of the Eurozone Crisis on Turkish Foreign Trade -- Chapter 9. Regulating Financial Markets after the Global Crisis.-Chapter 10. Fiscal Sustainability in the G-7 Countries.-Chapter 11. Monetary Coordination and Regulation Policies of Spillover Effects on Asset Dynamics -- Chapter 12. Is the link between the Real and Financial sectors affected by mechanism of governance? A cross-country analysis in Asia -- Section II. Assessment of Financial Stability in Emerging Markets and Business Cycles -- Chapter 13. External Financial Conditions and Slower Growth in Emerging Economies – 2013–2015 -- Chapter 14. Mortgaging the Future? Contagious Financial Crises in the Recent Past and their Implications for BRICS Economies -- Chapter 15. Assessment of Financial Stability in Emerging Economies: Evidence from Nigeria -- Chapter 16. Emerging Market Economies and International Business Cycle Fluctuations -- Chapter 17. Financial Conditions Index as a Leading Indicator of Business Cycles in Turkey -- Chapter 18. Feasibility of Financial Inclusion Mission in India under Reform and Global Financial Crisis -- Chapter 19. Renewable Energy Financing with a Sustainable Financial System Following The 2008 Financial Crisis in Developing Countries -- Chapter 20. The Impact of Russian Economy on the Trade, Foreign Direct Investment and Economic Growth of Turkey: Pre- and Post-Global Financial Crisis -- Chapter 21. Export Diversification in Emerging Economies -- Chapter 22. Equity and Debt Financing Strategies to fuel Global Business Operations during Crisis. Section III. Market Anomalies and Price Fluctuations in Capital Markets during Crisis -- Chapter 23. Stock Market Development and Economic Growth: The Case of MSCI Emerging Market Index Countries -- Chapter 24. Turkish Banking System: Maturing with Crises -- Chapter 25. Investigating the Causality Relationship between Liquidity and Financial Performance in Turkish Banking Sector: A Pre and Post 2008 Financial Crisis Assessment -- Chapter 26. Market Risks Instruments and Portfolio Inflows in African Frontier Economies -- Chapter 27. The Systemic Benefits of Islamic Banking and Finance Practices: A Comparative Study -- Chapter 28. Determinants of the Credit Risk in Developing Countries after Economic Crisis: A Case of Turkish Banking Sector -- Chapter 29. Credit Risk Evaluation of Turkish Households Aftermath the 2008 Financial Crisis -- Chapter 30. International Credit Default Swaps Market during European Crisis: A Markov Switching Approach -- Chapter 31. Does reputation still matter to credit rating agencies? -- Chapter 32.Price Fluctuations in Econophysics -- Chapter 33. Forecasting Emerging Market Volatility in Crisis Period: Comparing Traditional GARCH with High-Frequency Based Models -- Chapter 34. Calendar Anomalies in Stock Markets during Financial Crisis: The S&P 500 Case -- Chapter 35. Day of the Week Effect in the Stock Markets of Fragile Five Countries after 2008 Global Financial Crisis -- Chapter 36. Market Volatility, Beta, and Risks in Emerging Markets -- Section IV. Impact of Crisis, Economic Recovery and Sectoral Developments -- Chapter 37. The Relationship between Firm Size and Export Sales: Sector or Size, What Matters? -- Chapter 38. The Relationship between Economic Development and Female Labor Force Participation Rate – A Panel Data Analysis -- Chapter 39. The impact of the 2008-2009 global financial crises on employment creation and retention in the Platinum Group Metals (PGMs) mining sub-sector in South Africa -- Chapter 40. The effects of the crisis on nautical tourism: an analysis of the Italian situation regarding port features, linked economic activities and taxation -- Chapter 41. Shipbuilding in Italy at the end of the crisis. Is there a road to recovery? -- Chapter 42. Life Insurance reforms and Capital formation development: Lessons for Nigeria -- Chapter 43. Innovation during and beyond the economic crisis. |
Record Nr. | UNINA-9910163027203321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 | ||
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Lo trovi qui: Univ. Federico II | ||
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Risk Management, Strategic Thinking and Leadership in the Financial Services Industry : A Proactive Approach to Strategic Thinking / / edited by Hasan Dinçer, Ümit Hacioğlu |
Edizione | [1st ed. 2017.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 |
Descrizione fisica | 1 online resource (XV, 386 p. 51 illus., 37 illus. in color.) |
Disciplina | 658.4092 |
Collana | Contributions to Management Science |
Soggetto topico |
Financial risk management
Strategic planning Leadership Macroeconomics Risk Management Business Strategy and Leadership Macroeconomics and Monetary Economics |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Section I. Economic Outlook and Expectations for the Financial Services Industry -- Chapter 1. Global Economic Outlook -- Chapter 2. Sustainable and Inclusive Finance in Turkey -- Chapter 3. Monetary Policy Divergence and Central Banking in the New Era -- Chapter 4. In Looking into the Foreign Exchange Risk Management -- Chapter 5. The Link between Dollarization and Its Determinants in Turkey -- Chapter 6. Enhancing the Risk Management Functions in Banking: Capital Allocation and Banking Regulations -- Section II -- Managing Risks in Capital Markets -- Chapter 7. The Calibration of Market Risk Measures During Period Of Economic Downturn: Market Risks And Measures -- Chapter 8. Computation of operational value at risk using the Severity Distribution Model based on Bayesian Method with Gibbs Sampler -- Chapter 9. Liquidity Risk and Optimal Redemption Policies for Illiquid Investments -- Chapter 10. Credit Derivatives, their Risks and Role in Global Financial Crisis -- Chapter 11. An Approach to Measure Financial Risk Relative Indices: a Case Study of Indonesian Insurance Companies -- Section III. Volatility, Hedging and Strategy in Risky Environment -- Chapter 12. Extreme Value Theory in Finance: A Way to Forecast Unexpected Circumstances -- Chapter 13 -- Value at Risk Performance of Emerging Market Equity Portfolios during the Fed’s Tapering -- Chapter 14. Jumps and earnings announcement: Empirical evidence from Emerging Markets using High Frequency Data -- Chapter 15.Hedging Scenarios Under Competition: Exploring the Impact of Competitors’ Hedging Practices -- Chapter 16. Option Strategies and Exotic Options: Tools for Hedging or Source of Financial Instability? -- Section IV. Risk-Based Audit and the Structured Finance -- Chapter 17. Risk Based Internal Audit -- Chapter 18. Recent Financial Crisis and the Structured Finance: Accounting Perspective for Future -- Chapter 19. Compliance and Reporting Trends: Essential Strategies -- Chapter 20. Developing a Risk Management Framework and Risk Assessment for Non-profit Organizations: A Case Study -- Section IV. Culture and Leadership in Risk Management -- Chapter 21. Giving Risk Management Culture a Role in Strategic Planning -- Chapter 22. Agile Intrapreneurship in Volatile Business Environment: Changing Roles of Financial Managers and Risk Takers According to Schumpeterian Approach -- Chapter 23. Emerging Trends in the Post-Regulatory Environment: The Importance of Instilling Trust -- Chapter 24. The Effect of National Culture on Corporate Financial Decisions -- Chapter 25. Contemporary Leadership Styles and Schumpeterian Creative Destruction in Volatile Business Environment. |
Record Nr. | UNINA-9910156337903321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 | ||
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Lo trovi qui: Univ. Federico II | ||
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