Пример готовой курсовой работы по предмету: Языки (переводы)
Содержание
Content
Content 2
Introduction 3
Theoretical overview 5
Function of the CFO 5
Global Capital Budgeting Methods and Issues 7
Accessing the International Capital Market and Capital Structure 10
Capital structure — Financing and potential fund sourcing 12
Global stock market sizing 13
Offshore financing strategies 14
Managing Risk Globally 16
Creating a Global Finance Function 17
Case application of Raiffeisen Bank in Eastern Europe 21
Conclusion 28
References 31
Выдержка из текста
Introduction
Thispaper exploresthe financial operations and risks during company's expansion into the world market, how to successfully manage them and further minimize any risks that may arise. As we become more interconnected globally, the need for firm’s to expand their operations to foreign markets becomes increasing important to remain profitable and competitive.
The structure of paper will follow a theoretical overview that will explore the crucial role of the CFO in the multinational finance function of a firm. Then a theoretical overview of various capital budgeting methods will be explored as well as various issues that may arise.
Following on from this the important financial instruments of debt and equity will be explained in relation to the international finance function and how these instruments can be leverage by firms to ensure profitability in a global setting.
As a firm expands globally, accessing the international capital markets becomes an important factor to its success. Especially in regards to means in which it will sourceits funds and financing it’s projects. Additionally firms need to evaluate the size of global stock market sizing and the region in which it seeks to operate as this can have a bearing on its success.
Offshore Financing is an important and topic issue for firms. Especially as this method of financing is not only profitable but also helps to mitigate risks. CFO’s need to be aware of the benefits and risks associated with offshore financing; especially in light of recent events bring the issue to global attention.
Crucially, as firms expand their operations they can be exposed to greater risk. Risks can come in numerous forms and it is important for firms to implement strong risk management strategies to remain competitive.
The aforementioned theoretical analysis will be applied in a contemporary contemporary setting, focusing mainly from a European perspective in light of the recent economic developments in Russia. This case analysis will highlight the difficulties the finance function of a firm faces as it tries to remain profitable in a global setting
Furthermore some strategic insights and recommendations will be determined from both a theoretical perspective and from a contemporary standpoint in light of how the finance function a firm can ensure a global firm remains competitive.
Список использованной литературы
Оглавление
ВВЕДЕНИЕ 3
ГЛАВА 1 ОБЩЕТЕОРЕТИЧЕСКИЕ ПРЕДПОСЫЛКИ ИССЛЕДОВАНИЯ ТИТУЛОВ, РАНГОВ И ЗВАНИЙ В СОВРЕМЕННОМ НЕМЕЦКОМ ЯЗЫКЕ 5
1.1 Антропоцентризм как ведущий подход современной лингвистики 5
1.2 Системный характер лексики 8
1.3 Понятия титула, ранга и звания в современном немецком языке 11
1.4 Пути пополнения лексического состава названий титулов, рангов и званий в современном немецком языке 22
ГЛАВА 2. 27
2.1 Общая характеристика материала исследования и методика отбора 27
2.2 Структурные особенности названий титулов, званий и рангов 35
современного немецкого языка 35
Глава III. Методика обучения на уроках немецкого языка лексики с названиями титулов, рангов и званий современного немецкого языка 39
ЗАКЛЮЧЕНИЕ 58
СПИСОК ЛИТЕРАТУРЫ 59
ПРИЛОЖЕНИЕ А. 62
Список титулов, званий, рангов современного немецкого языка 62
ВВЕДЕНИЕ