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This paper's discussion focuses on the phenomenon of the global financial crisis impact on the largest multinational corporations from the dominant economic sectors. Based on selected sectors in terms of the largest market capitalization rankings by the Financial Times Global 500, the author attempts to show how the individual values have changed within the period from 2008 to 2012, including: market capitalization, turnover and profit of sectors. Moreover, presented is the correlation between these variables as well as its strength. In addition, in the following paper, the author has isolated sectors which are related with so-called new economy to examine whether these sectors are less prone to the phenomenon of the crisis than the other sectors.
The paper tackles the problem of the overwhelming regulatory burden that marks its presence in a post-crisis environment. With evidence of regulatory overload in some cases, paths for more effective design of regulatory frameworks should be sought. Although self-regulation does not enjoy favorable publicity and happens to fail to prove its value in times of distress, it still may serve as a remedy. A number of studies shows that, under specific circumstances, the self-regulatory framework may operate seamlessly for the benefit of all stakeholders. The goal of this paper is to identify these circumstances and validate them on the basis of three concise case studies from the health care, advertising and financial services industry. It is instructive for policy makers in deciding on whether to abandon or reduce public oversight in certain areas, by allowing businesses more freedom in terms of setting and enforcing the rules.
In the last years Ukraine has allocated considerable, with respect to their load on the budget, financial resources for agricultural support. However the significant increases of budgetary support do not substantially influence the effectiveness indices nor agricultural yields. Such information testifies to an imperfect nature of the internal support mechanism of Ukrainian agriculture. As the result, the domestic support did not become an effective stimulus for a production quality increase nor for a rise in the stock breeding production. In 2008 Ukraine gathered the biggest grain harvest. Increased production did not improve the financial results of agriculture and did not produce a stable and dynamic branch development because of the negative influence of world finance crises. Unbalanced supply and demand for agricultural production, low buying ability of inhabitants, lack of branch effective mechanism of domestic support caused complications of price situation in the domestic food market.
The last world financial crisis has had a noticeable impact on the wood sector in Poland. As a result companies have to deal with difficulties that have arisen in foreign trade and on labour market. One solution is to introduce some new activities into company and create a new image which may lead to an increase in competitiveness. For wood sector companies such solution can be the use of wood biomass for energy purposes. Wood waste which is a side product of wood processing may be used for energy purposes in the company that creates it or may be sold as this company’s product to power stations.
China experienced over the last three decades a very rapid economic growth and has become the second economy in the world and the largest exporter. This paper describes the changes in the international balance of power caused by the development of the Middle Kingdom. The research allows to identify further trends and factors that determine the distribution of spheres of influence in the world.
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