Investment Yearbook 2015 2016
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Author |
: Investment Research Group (IRG) Limited |
Publisher |
: Investment Research Group Ltd |
Total Pages |
: 307 |
Release |
: 2015-12-30 |
ISBN-10 |
: |
ISBN-13 |
: |
Rating |
: 4/5 ( Downloads) |
Synopsis INVESTMENT YEARBOOK 2015–2016 by : Investment Research Group (IRG) Limited
The 41st Edition of the IRG Yearbook includes All New Zealand listed Companies, 100 Australian listed Companies and 25 of the Top world companies e.g. Louis Vuitton, Apple, Berkshire Hathaway, and more! The IRG Yearbook gives a summary of the companies, their 5 year financials data AND a 5 year graph of the performance with analyst consensus on High, median and Low prices. Why Buy The IRG Yearbook · It is a Great reference for any investor to review the history of these NZ, Australian and World Stocks. · It has a long shelf life, i.e. it is referred to for up to ten years after purchase. · It is a brilliant gift for uncles, aunties, fathers, mothers, or anyone interested in Investment. It may be a student or simply someone who wants to learn. · The Book is crammed full of concise Investment Information in an easy format for readers. There will be facts that even the most experienced investor does not know. · There are 300 pages in the IRG Yearbook with 270 Companies from around the world.
Author |
: Mines Bureau |
Publisher |
: Government Printing Office |
Total Pages |
: 280 |
Release |
: 2018-04-19 |
ISBN-10 |
: 1411341724 |
ISBN-13 |
: 9781411341722 |
Rating |
: 4/5 (24 Downloads) |
Synopsis Minerals Yearbook by : Mines Bureau
- Minerals Yearbook, 2014, V. 3: Area Reports: International: Asia and the Pacific. Volume III, Area Reports: International, is published as four separate reports. These regional reports contain the latest available minerals data on more than 180 foreign countries and discuss the importance of minerals to the economies of these nations and the United States. Each report begins with an overview of the region's mineral industries during the year. It continues with individual country chapters that examine the mining, refining, processing, and use of minerals in each country of the region and how each country's mineral industry relates to U.S. industry. Most chapters include production tables and industry structure tables, information about Government policies and programs that affect the country's mineral industry, and an outlook section.
Author |
: Mines Bureau |
Publisher |
: |
Total Pages |
: 282 |
Release |
: 2018-04-19 |
ISBN-10 |
: 1411341724 |
ISBN-13 |
: 9781411341722 |
Rating |
: 4/5 (24 Downloads) |
Synopsis Minerals Yearbook by : Mines Bureau
- Minerals Yearbook, 2014, V. 3: Area Reports: International: Asia and the Pacific. Volume III, Area Reports: International, is published as four separate reports. These regional reports contain the latest available minerals data on more than 180 foreign countries and discuss the importance of minerals to the economies of these nations and the United States. Each report begins with an overview of the region's mineral industries during the year. It continues with individual country chapters that examine the mining, refining, processing, and use of minerals in each country of the region and how each country's mineral industry relates to U.S. industry. Most chapters include production tables and industry structure tables, information about Government policies and programs that affect the country's mineral industry, and an outlook section.
Author |
: Roger Ibbotson |
Publisher |
: Wiley |
Total Pages |
: 0 |
Release |
: 2017-04-10 |
ISBN-10 |
: 1119366674 |
ISBN-13 |
: 9781119366676 |
Rating |
: 4/5 (74 Downloads) |
Synopsis 2017 Stocks, Bonds, Bills, and Inflation (SBBI) Yearbook by : Roger Ibbotson
The latest, most complete data for more informed investment decisions The 2017 Stocks, Bonds, Bills, and Inflation (SBBI) Yearbook is the industry standard performance data reference, with comprehensive records dating back to 1926. Covering common stocks, long-term government bonds, long-term corporate bonds, Treasury bills, and the Consumer Price Index, this book provides the essential information advisors, planners, and brokers need to analyze asset class performance. Historical return figures include the riskless rate of interest, equity risk premium, bond default premium, and the maturity premium between the return on long-term governments and Treasury bills, and total returns and index values cover large and small company stocks, long- and intermediate-term government bonds, inflation, and more. Charts and graphs allow for quick visual reference, and a clear hierarchical organization pattern facilitates efficient data location. As the go-to reference for information and capital market returns, this book provides investors with the critical background they need to analyze future investments. With the most complete historical data available, investors will be able to: Find annual index levels and total rates of return for five basic asset series Access historical return figures for four component series Estimate cost-of-capital based on comprehensive, reliable data Make informed judgments about future investment opportunities Performance analysis is critical to successful investing, but the analysis can only be as useful as the data is accurate. Decisions made from scant information are not good investment decisions; investors need complete, top-quality data to make informed choices and properly balance risk with reward. The 2017 Stocks, Bonds, Bills, and Inflation (SBBI) Yearbook is the definitive study of historical capital market data in the United States, and the gold-standard reference industry-wide.
Author |
: |
Publisher |
: The Energy and Resources Institute (TERI) |
Total Pages |
: 398 |
Release |
: 2016-12-22 |
ISBN-10 |
: 9788179935910 |
ISBN-13 |
: 8179935914 |
Rating |
: 4/5 (10 Downloads) |
Synopsis TERI Energy & Environment Data Diary and Yearbook (TEDDY) 2015/16 (Updated Edition) by :
TERI Energy & Environment Data Diary and Yearbook (TEDDY) is an annual publication brought out by The Energy and Resources Institute (TERI) since 1986. It is the only comprehensive energy and environment yearbook in India which provides updated information on the energy supply sectors (coal and lignite, petroleum and natural gas, power, and renewable energy sources), energy demand sectors (agriculture, industry, transport, residential, and commercial sectors), and environment (local and global). The publication also provides a review of the government policies that have implications for these sectors of the Indian economy. Each edition of TEDDY contains India's commercial energy balances for the last four years that provide comprehensive information on energy flows within different sectors of the economy and how they have been changing over time. These energy balances and conversion factors are a valuable ready reckoner for researchers, scholars, and organizations working on energy sector. After the introductory chapters, for the ease of readers, TEDDY has been divided into sections on energy supply, energy demand, and local and global environment. Interactive graphs, figures, maps, and tables have been used throughout the chapters to explain facts, which make the book an interesting read. In addition, detailed tables at the end of each chapter represent statistical data on each of the above-mentioned sectors. The publication is accompanied by a complimentary CD containing full text. The publication has more than 15,000 readers across the globe and is often cited in international peer reviewed journals and policy documents. Key Features: Exhaustive compilation of data from energy supply and demand sectors Recent data along with data from the past years covered in the form of structured and easy-to-understand tables Recent advances made in the energy sectors Self-explanatory figures and graphs showing the latest trends in various sectors The Green Focus at the end of every chapter highlights a topical issue A complimentary CD that contains all the chapters and additional tables
Author |
: Ulrich Volz |
Publisher |
: Routledge |
Total Pages |
: 640 |
Release |
: 2018-10-26 |
ISBN-10 |
: 9781134862146 |
ISBN-13 |
: 1134862148 |
Rating |
: 4/5 (46 Downloads) |
Synopsis Routledge Handbook of Banking and Finance in Asia by : Ulrich Volz
The Routledge Handbook of Banking and Finance in Asia brings together leading scholars, policymakers, and practitioners to provide a comprehensive and cutting-edge guide to Asia’s financial institutions, markets, and systems. Part I provides a country-by-country overview of banking and finance in East, Southeast, and South Asia, including examples from China, Japan, Hong Kong, India, and Singapore. Part II contains thematic chapters, covering topics such as commercial banking, development banking, infrastructure finance, stock markets, insurance, and sovereign wealth funds. It also includes examinations of banking regulation and supervision, and analyses of macroprudential regulation, capital flow management measures, and monetary policy. Finally, it provides new insights into topical issues such as SME, green, and Islamic finance. This handbook is an essential resource for scholars and students of Asian economics and finance and for professionals working in financial markets in Asia.
Author |
: Tomas Fecak |
Publisher |
: Kluwer Law International B.V. |
Total Pages |
: 455 |
Release |
: 2016-09-25 |
ISBN-10 |
: 9789041168931 |
ISBN-13 |
: 9041168931 |
Rating |
: 4/5 (31 Downloads) |
Synopsis International Investment Agreements and EU Law by : Tomas Fecak
The rapidly growing number of investors’ disputes with states and the approach of arbitral tribunals, perceived by some, whether rightly or not, as being too investor-friendly, underlie a contentious debate about the need to strike a more effective balance between investors’ rights under international investment agreements (IIAs) and the right of states to pursue legitimate regulation in the public interest. In this regard the European Union, with the exclusive external competence in foreign direct investment vested in it under the Lisbon Treaty, is emerging as the leader and driving force in the future development of international investment law. This book examines the competence of the EU to conclude investment treaties in the light of the investment protection rules of IIAs, explores how far the EU regime for cross-border investment and investors’ rights under IIAs can be considered comparable, and brings about an extensive analysis of existing agreements of Member States and their compatibility with EU law, with detailed investigation of how the potentially conflicting obligations of Member States under the two regimes can be reconciled. The book covers such elements of the debate as the following: • ‘standards of treatment’ under IIAs; • investment-related provisions of EU law; • dispute settlement mechanisms and the conduct of investment disputes; • how recent controversies over bilateral investment treaties (BITs) shape emerging EU international investment policy; • effect of political and institutional interests; • transitional arrangements for BITs between Member States and third countries established by Regulation 1219/2012; • CJEU decisions concerning BITs concluded between EU Member States and third countries; • significant arbitral awards involving intra-EU BITs; • allocation of international responsibility for breaches of investors’ rights; • intra-EU dimension of the Energy Charter Treaty (ECT); • possibilities for review of arbitral awards by courts of Member States; • desirability of international protection of foreign investment in developed countries; and • role of the Convention on the Settlement of Investment Disputes between States and Nationals of Other States (ICSID Convention) The author provides a number of well-grounded recommendations, taking into account throughout the legitimate interests and expectations of individual investors. As an invaluable commentary on developments related to the interplay between international investment law and EU law, and a guide to ameliorating the tensions and controversies surrounding this relationship, this book will appeal to a wide variety of readers. The questions dealt with are faced not only by negotiators and others involved in policymaking in the area of foreign investment, but also by specialists in international investment law, investment arbitration, EU international relations law, and anyone involved in cross-border law, as well as others who encounter these questions in the course of their professional or academic activities.
Author |
: Geological Survey |
Publisher |
: |
Total Pages |
: 216 |
Release |
: 2018-04-19 |
ISBN-10 |
: 1411341740 |
ISBN-13 |
: 9781411341746 |
Rating |
: 4/5 (40 Downloads) |
Synopsis Minerals Yearbook by : Geological Survey
This volume of the Minerals Yearbook provides an annual review of mineral production and trade and of mineral-related government and industry developments in more than 175 foreign countries. It is normally published in separate books that cover specific regions. In this publication, the regional books are combined into one commemorative volume. These annual reviews are designed to provide timely statistical data on mineral commodities in various countries. Each report includes sections on government policies and programs, environmental issues, trade and production data, industry structure and ownership, commodity sector developments, infrastructure, and a summary outlook. More information is available on the three volumes of the Minerals Yearbook. Regional Areas Covered: Africa and the Middle East Asia and the Pacific Europe and Central Eurasia North America, Central America, and the Caribbean South America
Author |
: Pamela Finckenberg-Broman |
Publisher |
: Springer Nature |
Total Pages |
: 327 |
Release |
: 2022-09-28 |
ISBN-10 |
: 9783031101083 |
ISBN-13 |
: 3031101081 |
Rating |
: 4/5 (83 Downloads) |
Synopsis Weaponizing EU State Aid Law to Impact the Future of EU Investment Policy in the Global Context by : Pamela Finckenberg-Broman
This book provides a comprehensive analysis of how EU state aid law is shaping the future of EU investment policy in a global context. It examines in detail how EU state aid policy and practice interact with the EU investment regime on the internal market and affect the external trade relations of the Member States and the EU alike. The debate this book engages in concerns competence, i.e., which body delineates the scope of state aid law and policy (now and in the future) when and where it intersects and collides with another distinct legal field: investment protection. Pursuing a doctrinal approach to the topic in the light of EU law and international law, the book analyses the interaction of the EU’s trade, state aid and investment policy. This is done by posing the following research question: How is EU state aid law shaping the future of EU investment policy in a global context? Further, the book puts forward three corresponding arguments. First, this influence can be seen in the EU’s incorporation of clauses promoting fair competition and state aid policy in international trade agreements. Second, EU state aid law and policy contributed to recent internal developments which led the Member States to terminate their bilateral agreements with each other (intra-EU BITs) by the end of 2019. Third, the EU has been working to replace the BITs between its Member States and third countries (extra-EU BITs) with its own trade agreements, which are aligned with EU legislation. This combined analysis of EU law and international law yields a number of interesting conclusions. The book addresses a highly topical and rapidly evolving area of EU law and international investment law. It is also the first book to provide a comprehensive approach to the interplay of state aid rules and EU investment policy internally and externally, i.e., within the EU and on a global scale. As such, it closes an important gap in the extant literature on international and EU law.
Author |
: Matthew W. Sherwood |
Publisher |
: Taylor & Francis |
Total Pages |
: 242 |
Release |
: 2023-05-15 |
ISBN-10 |
: 9781000873634 |
ISBN-13 |
: 1000873633 |
Rating |
: 4/5 (34 Downloads) |
Synopsis Responsible Investing by : Matthew W. Sherwood
Responsible Investing serves as a holistic resource on Environmental, Social, and Governance (ESG) investing for undergraduate and graduate programs. It provides a thorough background and history of ESG investing, as well as cutting-edge industry developments, introducing the reader to the rapidly evolving field of responsible investing. Building on the first edition, this second edition provides updates where appropriate, as well as new emphasis on the development of standards in terminology and metrics. Opening with the background of ESG investing, the book discusses the development of ESG risks and provides an overview of ESG rating systems. It outlines the current position of ESG investing in portfolio management through granular analysis, offers insight into common investor concerns about ESG investments, presents qualitative theories, and reviews literature modeling ESG investment performance. Finally, the authors provide readers with a foundation on the development of financial models measuring risk and return, which can be used to evaluate the performance of ESG investments. This edition features updated statistics and a new chapter on regulation, reporting, and taxonomy in ESG investing, as well as new international case studies. Following a summary approach, Responsible Investing is a valuable textbook, providing a context in which upper-level students of ESG investment and sustainable finance can specialize.