Financial management is applicable to every type of organization. It does not focus on their nature of the enterprise or size of the enterprise. The financial statement provides the basic data for financial performance analysis. The need of study about the financial performance is to identify the ...
The cooperative banking system has witnessed a sea change since the initiation of the financial sector reforms in India from 1991-92. There has been a comprehensive change as regard to the profitability position of the central cooperativ... B Singh 被引量: 1发表: 2011年 加载更多0...
In India, treasury bills are of two types —‘ordinary’ and ‘ad-hoc’. The ordinary treasury bills are issued to the public and the RBI to enable the government to meet its requirement for short-term finance. Ad hoc treasury bills, popularly known as ‘ad-hocs’ are created in favour...
·On 2 January 2024, IGPL announced that it had formally issued a Notice of Dispute ("NoD") to the Republic of India ("India") over the latter's breaches of its obligations under the 1999 Agreement between the Government of Australia and the Government of the Republic of India on the Pr...
thoughts and models of the finance function in the Indian Central Government with those that exist worldwide, presents the analytical underpinnings of why some aspects of a particular model may be suitable to the Indian position, and provides the Government of India with options and courses of ...
Curious about the salary of a financial advisor in India? Learn about the responsibilities, trends, and average salaries of financial advisors in top companies in India.
“industries”. Just kidding, and but it sure feels like that. The capital city of the UK has been the trade and business hub since the middle ages and is one of the most visited places on earth. It holds its present-day position in the World financial centers for its leading stock ...
of $61.5 billion (excluding Fairfax India's portfolio of $2.0 billion), of which $7.7 billion was in cash and short term investments representing 12.6% of those portfolio investments. During the first six months of 2024 the company used net proceeds from sales and maturities of U.S. ...
The IB indicator captures the weight of interest rate that the firm pays out due to banks’ credit tightening. The IB can be interpreted as the variation in the firm’s interest rates payments due to changes in its financial position. In other words, financially constrained firms usually ...
Hong Kong's position as a global financial center is intertwined with its colonial past and strategic geographical position. The city was a crucial trading port in the 19th century as a British colony, making the city one that was warred over for a place in international trade, particularly ...