Return and risk analysis in multinational firms:
Gespeichert in:
1. Verfasser: | |
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Format: | Abschlussarbeit Buch |
Sprache: | English |
Veröffentlicht: |
2008
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Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | X, 290 S. graph. Darst. |
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adam_text | TABLE OF CONTENTS PART A: STUDY BASICS 1 1 INTRODUCTION 3 1.1
MOTIVATION, GOAL DEFINITION AND STRUCTURE OF THE STUDY 3 1.1.1
MOTIVATION AND FOCUS , 3 1.1.2 OBJECTIVES 5 1.1.3 STRUCTURE 6 1.2
PROBLEM DEFINITION AND DEMARCATION * 9 1.2.1 PROBLEM DEFINITION 9 1.2.2
PROBLEM DEMARCATION 10 1.3 PRACTICAL AND THEORETICAL RELEVANCE 12 1.3.1
PRACTICAL RELEVANCE 12 1.3.2 THEORETICAL RELEVANCE 15 2 METHODOLOGICAL
APPROACH AND RESEARCH DESIGN... . 17 2.1 METHODOLOGICAL ORIENTATION AND
APPROACH , 17 2.2 RESEARCH DESIGN 20 2.2.1 ENTITIES OF INTEREST 23 2.2.2
DATA GATHERING 25 2.2.3 DATA ANALYSIS 26 2.2.4 CRITERIA FOR EVALUATION
26 2.3 EX ANTE POTENTIAL SHORTCOMINGS OF THE STUDY 28 PART B: RESEARCH
CONTEXTS 29 3 RESEARCH CONTEXT I: CAPITAL BUDGETING , ...31 3.1
IDEOLOGICAL REMARKS AND ORGANISATIONAL EMBEDDEDNESS OF CAPITAL
BUDGETING32 3.2 THE CAPITAL BUDGETING PROCESS 34 3.3 BASIC FINANCIAL
CONCEPTS OF TODAY S PRACTICE 42 3.4 ECONOMIC PROFITS AND ACCOUNTING
RETURNS 46 3.5 VALUATION AND VALUE CREATION 53 3.6 DECISION-MAKING -
STRATEGY DEVELOPMENT . . 58 3.7 CASH FLOW PLANNING 60 3.7.1 CASH FLOW
CHARACTERISTICS 60 3.7.2 CASH FLOW MODELLING FOR BUSINESS PLANNING 62
3.8 SUMMARY *. 63 4 RESEARCH CONTEXT II: RISK MANAGEMENT 65 4.1
CORPORATE RISKS AND MOTIVATION FOR RISK MANAGEMENT 65 4.2 CLASSIC RISK
MANAGEMENT STRATEGIES 72 4.3 RISK RETURN TRADE-OFF AND MEASUREMENT OF
RISK - THEORETICAL BASICS 74 4.4 RISK ASSESSMENT AND MEASUREMENT - FIRMS
RISK EXPOSURE 77 4.4.1 BUSINESS RISK 77 4.4.2 EXCHANGE RATE RISK 81
4.4.3 INTEREST RATE RISK 95 4.5 HEDGING DECISIONS 97 4.6 RISK MANAGEMENT
AND REPORTING 98 4.7 SUMMARY . . 99 PART C: RETURN AND RISK ANALYSIS -
CONCEPT AND MODEL DEVELOPMENT, CASE ANALYSIS, AND MANAGEMENT
IMPLICATIONS 101 5 THE CONCEPT .OF RISK AND RETURN MANAGEMENT 103 5.1
THE PAST AND THE PRESENT - ANALYTICAL FRAMEWORK 107 5.1.1 STRATEGIC
ANALYSIS 107 5.1.2 FINANCIAL ANALYSIS 116 5.1.3 COLLABORATION AND
INTERFACES BETWEEN STRATEGIC AND FINANCIAL ANALYTICAL ACTIVITIES 144
5.1.4 THE RESULTS FROM THE ANALYSIS OF THE PAST AND PRESENT. 144 5.2 THE
FUTURE - SCENARIOS, STRATEGIC OPTIONS AND FINANCIAL PLANNING 145 5.2.1
SCENARIOS AND STRATEGIC OPTIONS 146 5.2.2 STRATEGIC OPTIONS AND
DECISION-MAKING 157 5.2.3 STRATEGIC AND FINANCIAL GOALS AND PLANS 164
5.3 SUMMARY 165 6 MODEL DEVELOPMENT 167 6.1 MODEL SET-UP AND PRELIMINARY
MODELLING DECISIONS 167 6.1.1 GENERAL ASSUMPTIONS AND PRELIMINARY
MODELLING DECISIONS 168 6.1.2 MARKETS AND PRODUCTS 169 6.1.3 LIMITATIONS
OF THE MODEL 169 6.2 THE PROJECTION MODEL 170 6.2.1 MODEL INPUTS 171
6.2.2 MODELLING OF INCOME STATEMENTS 173 6.2.3 MODELLING OF BALANCE
SHEETS 175 6.2.4 MODELLING OF CASH FLOW STATEMENT 178 6.2.5 TRANSLATION
RISK AND TRANSACTION RISK 179 6.2.6 CONSOLIDATION AND INTERCOMPANY
RELATIONS 180 .6.2.7 SUMMARY 182 6.3 RISK MODELLING 185 6.3.1
FORECASTING OF BUSINESS AND FINANCIAL TIME SERIES 185 6.3.2 BUSINESS
FORECASTING AND RISK ASSESSMENT 192 6.3.3 FOREIGN EXCHANGE RATE AND
INTEREST RATE FORECASTING AND RISK ASSESSMENT 202 6.3.4 COMBINING THE
RISK ASSESSMENTS TO A COMBINED RISK MEASURE 220 6.4 SUMMARY 223 7 FOCUS
CASES 227 7.1 CORPORATE DEVELOPMENT AND TRANSFORMATION 227 7.2 BASE
CASES 229 7.2.1 INDEPENDENT SUBSIDIARIES ,.... 229 7.2.2 INTEGRATED
PRODUCTION AND DISTRIBUTION NETWORK.... 230 7.2.3 DISTRIBUTION CHANNEL
ORGANISATION 232 7.3 SPECIAL CASES 233 7.3.1 ACQUISITIONS AND JOINT
VENTURES 234 7.3.2 NEW VENTURES 236 7.3.3 SHIFTING OF PRODUCTION SITES
237 7.3.4 DIVESTMENTS 238 7.4 KEY LEARNING POINTS 239 8 CONCLUSIONS,
MANAGEMENT IMPLICATIONS AND OUTLOOK 243 8.1 CONCLUSIONS 243 8.2
MANAGEMENT IMPLICATIONS FOR THE 250 8.2.1 CEO.. 250 8.2.2 BUSINESS
MANAGER 251 8.2.3 CFO/FINANCIAL MANAGER ,251 8.2.4 IMPLICATIONS FOR THE
STRATEGIST AND BUSINESS DEVELOPER . 252 8.3 OUTLOOK 253 9 ANNEXES 255
9.1 GLOSSARY, DEFINITIONS AND FINANCIAL ANALYSIS CONCEPTS 255 9.2
CHAPTER ANNEXES 261 9.2.1 EXCERPT OF BOOKS AND PAPERS USED FOR
BACKGROUND RESEARCH 261 9.2.2 INCOME STATEMENT, BALANCE SHEET AND CASH
FLOW MODELLING 264 9.2.3 KEY FINANCIAL INFORMATION ON CLARIANT AND CIBA
SPECIALTY CHEMICALS 268 9.2.4 PORTFOLIO METHODS IN STRATEGIC ANALYSIS
271 9.2.5 PROFIT ELIMINATION ON IC TRANSACTIONS IN CONSOLIDATION 273
9.2.6 INTERNATIONAL PARITY RELATIONS 275 10 BIBLIOGRAPHY 279 10.1 ONLINE
RESOURCES 279 10.2 BOOKS AND PAPERS 280 CURRICULUM VITAE 291 C
|
adam_txt |
TABLE OF CONTENTS PART A: STUDY BASICS 1 1 INTRODUCTION 3 1.1
MOTIVATION, GOAL DEFINITION AND STRUCTURE OF THE STUDY 3 1.1.1
MOTIVATION AND FOCUS , 3 1.1.2 OBJECTIVES 5 1.1.3 STRUCTURE 6 1.2
PROBLEM DEFINITION AND DEMARCATION * 9 1.2.1 PROBLEM DEFINITION 9 1.2.2
PROBLEM DEMARCATION 10 1.3 PRACTICAL AND THEORETICAL RELEVANCE 12 1.3.1
PRACTICAL RELEVANCE 12 1.3.2 THEORETICAL RELEVANCE 15 2 METHODOLOGICAL
APPROACH AND RESEARCH DESIGN.". 17 2.1 METHODOLOGICAL ORIENTATION AND
APPROACH , 17 2.2 RESEARCH DESIGN 20 2.2.1 ENTITIES OF INTEREST 23 2.2.2
DATA GATHERING 25 2.2.3 DATA ANALYSIS 26 2.2.4 CRITERIA FOR EVALUATION
26 2.3 EX ANTE POTENTIAL SHORTCOMINGS OF THE STUDY 28 PART B: RESEARCH
CONTEXTS 29 3 RESEARCH CONTEXT I: CAPITAL BUDGETING , .31 3.1
IDEOLOGICAL REMARKS AND ORGANISATIONAL EMBEDDEDNESS OF CAPITAL
BUDGETING32 3.2 THE CAPITAL BUDGETING PROCESS 34 3.3 BASIC FINANCIAL
CONCEPTS OF TODAY'S PRACTICE 42 3.4 ECONOMIC PROFITS AND ACCOUNTING
RETURNS 46 3.5 VALUATION AND VALUE CREATION 53 3.6 DECISION-MAKING -
STRATEGY DEVELOPMENT .'. 58 3.7 CASH FLOW PLANNING 60 3.7.1 CASH FLOW
CHARACTERISTICS 60 3.7.2 CASH FLOW MODELLING FOR BUSINESS PLANNING 62
3.8 SUMMARY *. 63 4 RESEARCH CONTEXT II: RISK MANAGEMENT 65 4.1
CORPORATE RISKS AND MOTIVATION FOR RISK MANAGEMENT 65 4.2 CLASSIC RISK
MANAGEMENT STRATEGIES 72 4.3 RISK RETURN TRADE-OFF AND MEASUREMENT OF
RISK - THEORETICAL BASICS 74 4.4 RISK ASSESSMENT AND MEASUREMENT - FIRMS
RISK EXPOSURE 77 4.4.1 BUSINESS RISK 77 4.4.2 EXCHANGE RATE RISK 81
4.4.3 INTEREST RATE RISK 95 4.5 HEDGING DECISIONS 97 4.6 RISK MANAGEMENT
AND REPORTING 98 4.7 SUMMARY .'. 99 PART C: RETURN AND RISK ANALYSIS -
CONCEPT AND MODEL DEVELOPMENT, CASE ANALYSIS, AND MANAGEMENT
IMPLICATIONS 101 5 THE CONCEPT .OF RISK AND RETURN MANAGEMENT 103 5.1
THE PAST AND THE PRESENT - ANALYTICAL FRAMEWORK 107 5.1.1 STRATEGIC
ANALYSIS 107 5.1.2 FINANCIAL ANALYSIS 116 5.1.3 COLLABORATION AND
INTERFACES BETWEEN STRATEGIC AND FINANCIAL ANALYTICAL ACTIVITIES 144
5.1.4 THE RESULTS FROM THE ANALYSIS OF THE PAST AND PRESENT. 144 5.2 THE
FUTURE - SCENARIOS, STRATEGIC OPTIONS AND FINANCIAL PLANNING 145 5.2.1
SCENARIOS AND STRATEGIC OPTIONS 146 5.2.2 STRATEGIC OPTIONS AND
DECISION-MAKING 157 5.2.3 STRATEGIC AND FINANCIAL GOALS AND PLANS 164
5.3 SUMMARY 165 6 MODEL DEVELOPMENT 167 6.1 MODEL SET-UP AND PRELIMINARY
MODELLING DECISIONS 167 6.1.1 GENERAL ASSUMPTIONS AND PRELIMINARY
MODELLING DECISIONS 168 6.1.2 MARKETS AND PRODUCTS 169 6.1.3 LIMITATIONS
OF THE MODEL 169 6.2 THE PROJECTION MODEL 170 6.2.1 MODEL INPUTS 171
6.2.2 MODELLING OF INCOME STATEMENTS 173 6.2.3 MODELLING OF BALANCE
SHEETS 175 6.2.4 MODELLING OF CASH FLOW STATEMENT 178 6.2.5 TRANSLATION
RISK AND TRANSACTION RISK 179 6.2.6 CONSOLIDATION AND INTERCOMPANY
RELATIONS 180 .6.2.7 SUMMARY 182 6.3 RISK MODELLING 185 6.3.1
FORECASTING OF BUSINESS AND FINANCIAL TIME SERIES 185 6.3.2 BUSINESS
FORECASTING AND RISK ASSESSMENT 192 6.3.3 FOREIGN EXCHANGE RATE AND
INTEREST RATE FORECASTING AND RISK ASSESSMENT 202 6.3.4 COMBINING THE
RISK ASSESSMENTS TO A COMBINED RISK MEASURE 220 6.4 SUMMARY 223 7 FOCUS
CASES 227 7.1 CORPORATE DEVELOPMENT AND TRANSFORMATION 227 7.2 BASE
CASES 229 7.2.1 INDEPENDENT SUBSIDIARIES ,. 229 7.2.2 INTEGRATED
PRODUCTION AND DISTRIBUTION NETWORK. 230 7.2.3 DISTRIBUTION CHANNEL
ORGANISATION 232 7.3 SPECIAL CASES 233 7.3.1 ACQUISITIONS AND JOINT
VENTURES 234 7.3.2 NEW VENTURES 236 7.3.3 SHIFTING OF PRODUCTION SITES
237 7.3.4 DIVESTMENTS 238 7.4 KEY LEARNING POINTS 239 8 CONCLUSIONS,
MANAGEMENT IMPLICATIONS AND OUTLOOK 243 8.1 CONCLUSIONS 243 8.2
MANAGEMENT IMPLICATIONS FOR THE 250 8.2.1 CEO. 250 8.2.2 BUSINESS
MANAGER 251 8.2.3 CFO/FINANCIAL MANAGER ,251 8.2.4 IMPLICATIONS FOR THE
STRATEGIST AND BUSINESS DEVELOPER '. 252 8.3 OUTLOOK 253 9 ANNEXES 255
9.1 GLOSSARY, DEFINITIONS AND FINANCIAL ANALYSIS CONCEPTS 255 9.2
CHAPTER ANNEXES 261 9.2.1 EXCERPT OF BOOKS AND PAPERS USED FOR
BACKGROUND RESEARCH 261 9.2.2 INCOME STATEMENT, BALANCE SHEET AND CASH
FLOW MODELLING 264 9.2.3 KEY FINANCIAL INFORMATION ON CLARIANT AND CIBA
SPECIALTY CHEMICALS 268 9.2.4 PORTFOLIO METHODS IN STRATEGIC ANALYSIS
271 9.2.5 PROFIT ELIMINATION ON IC TRANSACTIONS IN CONSOLIDATION 273
9.2.6 INTERNATIONAL PARITY RELATIONS 275 10 BIBLIOGRAPHY 279 10.1 ONLINE
RESOURCES 279 10.2 BOOKS AND PAPERS 280 CURRICULUM VITAE 291 C |
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author | Mayr, Dominik Stephan 1972- |
author_GND | (DE-588)137832753 |
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building | Verbundindex |
bvnumber | BV023244399 |
classification_rvk | QP 305 |
ctrlnum | (OCoLC)254445893 (DE-599)BSZ278478697 |
discipline | Wirtschaftswissenschaften |
discipline_str_mv | Wirtschaftswissenschaften |
format | Thesis Book |
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spelling | Mayr, Dominik Stephan 1972- Verfasser (DE-588)137832753 aut Return and risk analysis in multinational firms submitted by Dominik Stephan Mayr 2008 X, 290 S. graph. Darst. txt rdacontent n rdamedia nc rdacarrier St. Gallen, Univ., Diss., 2007 Dissertation no. 3354 Betriebliche Budgetierung / Investitionsrisiko / Risikomanagement / Return on Investment / Betriebswirtschaftliche Investitionstheorie / Multinationales Unternehmen Dissertation / Thesis - 18 Return on Investment (DE-588)4049628-4 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf Multinationales Unternehmen (DE-588)4075092-9 gnd rswk-swf Risikomanagement (DE-588)4121590-4 gnd rswk-swf Risikoanalyse (DE-588)4137042-9 gnd rswk-swf (DE-588)4113937-9 Hochschulschrift gnd-content Multinationales Unternehmen (DE-588)4075092-9 s Finanzmanagement (DE-588)4139075-1 s Risikomanagement (DE-588)4121590-4 s DE-604 Return on Investment (DE-588)4049628-4 s Risikoanalyse (DE-588)4137042-9 s DE-188 SWB Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=016429887&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Mayr, Dominik Stephan 1972- Return and risk analysis in multinational firms Betriebliche Budgetierung / Investitionsrisiko / Risikomanagement / Return on Investment / Betriebswirtschaftliche Investitionstheorie / Multinationales Unternehmen Dissertation / Thesis - 18 Return on Investment (DE-588)4049628-4 gnd Finanzmanagement (DE-588)4139075-1 gnd Multinationales Unternehmen (DE-588)4075092-9 gnd Risikomanagement (DE-588)4121590-4 gnd Risikoanalyse (DE-588)4137042-9 gnd |
subject_GND | (DE-588)4049628-4 (DE-588)4139075-1 (DE-588)4075092-9 (DE-588)4121590-4 (DE-588)4137042-9 (DE-588)4113937-9 |
title | Return and risk analysis in multinational firms |
title_auth | Return and risk analysis in multinational firms |
title_exact_search | Return and risk analysis in multinational firms |
title_exact_search_txtP | Return and risk analysis in multinational firms |
title_full | Return and risk analysis in multinational firms submitted by Dominik Stephan Mayr |
title_fullStr | Return and risk analysis in multinational firms submitted by Dominik Stephan Mayr |
title_full_unstemmed | Return and risk analysis in multinational firms submitted by Dominik Stephan Mayr |
title_short | Return and risk analysis in multinational firms |
title_sort | return and risk analysis in multinational firms |
topic | Betriebliche Budgetierung / Investitionsrisiko / Risikomanagement / Return on Investment / Betriebswirtschaftliche Investitionstheorie / Multinationales Unternehmen Dissertation / Thesis - 18 Return on Investment (DE-588)4049628-4 gnd Finanzmanagement (DE-588)4139075-1 gnd Multinationales Unternehmen (DE-588)4075092-9 gnd Risikomanagement (DE-588)4121590-4 gnd Risikoanalyse (DE-588)4137042-9 gnd |
topic_facet | Betriebliche Budgetierung / Investitionsrisiko / Risikomanagement / Return on Investment / Betriebswirtschaftliche Investitionstheorie / Multinationales Unternehmen Dissertation / Thesis - 18 Return on Investment Finanzmanagement Multinationales Unternehmen Risikomanagement Risikoanalyse Hochschulschrift |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=016429887&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT mayrdominikstephan returnandriskanalysisinmultinationalfirms |