Matspoorthuis
On this page, you find all documents, package deals, and flashcards offered by seller matspoorthuis.
- 9
- 0
- 1
Community
- Followers
- Following
6 Reviews received
10 items
BIRM summary
Summary Banking, Insurance, and Risk management. About Basel requirements, especially market risk, credit risk and OLM risk.
- Summary
- • 24 pages •
Summary Banking, Insurance, and Risk management. About Basel requirements, especially market risk, credit risk and OLM risk.
Summary IIM
In this summary all material of the cours Institutional Investment Theory is summarized in 17 pages. Including the guest lectures at Kempen & Co (field trip).
- Summary
- • 17 pages •
In this summary all material of the cours Institutional Investment Theory is summarized in 17 pages. Including the guest lectures at Kempen & Co (field trip).
Summary Intermediate Asset Pricing
This document summarizes the course Intermediate Asset Pricing
(EBB084A05), part of pre-msc Finance and other bachelors.
- Book
- Summary
- • 7 pages •
This document summarizes the course Intermediate Asset Pricing
(EBB084A05), part of pre-msc Finance and other bachelors.
Financial Reporting and Risk Management
This bundle includes the summary of the overall course. Furthermore, ten papers are summarized.
- Package deal
- • 2 items •
- FRRM summary course • Summary
- FRRM summary papers • Summary
This bundle includes the summary of the overall course. Furthermore, ten papers are summarized.
FRRM summary papers
This summary includes the following ten papers:

1.	Hayne, C., & Free, C. (2014). 
Hybridized professional groups and institutional work: COSO and the rise of enterprise risk management. Accounting, Organizations and Society, 39(5), 309-330.

2.	Gates, S. (2006). 
Incorporating strategic risk into enterprise risk management: A survey of current corporate practice. Journal of Applied Corporate Finance, 18(4), 81-90.

3.	Hall, M., Mikes, A., & Millo, Y. (2015). 
How do risk managers become influen...
- Package deal
- Summary
- • 23 pages •
This summary includes the following ten papers:

1.	Hayne, C., & Free, C. (2014). 
Hybridized professional groups and institutional work: COSO and the rise of enterprise risk management. Accounting, Organizations and Society, 39(5), 309-330.

2.	Gates, S. (2006). 
Incorporating strategic risk into enterprise risk management: A survey of current corporate practice. Journal of Applied Corporate Finance, 18(4), 81-90.

3.	Hall, M., Mikes, A., & Millo, Y. (2015). 
How do risk managers become influen...
FRRM summary course
This summary summarizes the whole course including the highlights of the papers. All important information for the examination is included, including exam questions.
- Book & Paket-Deal
- Summary
- • 11 pages •
This summary summarizes the whole course including the highlights of the papers. All important information for the examination is included, including exam questions.
Paper 10
Summary of the following 10 papers: 
Hayne, C., & Free, C. (2014); 
Gates, S. (2006); 
Hall, M., Mikes, A., & Millo, Y. (2015)
Ng, J. (2011); 
Field, L., Lowry, M., & Shu, S. (2005); 
Kim, Y., Li, H., & Li, S. (2014); 
Bebbington, J., Larrinaga, C., & Moneva, J. M. (2008).
Power, M. (2009);
 Mikes, A. (2011); 
Doyle, J., Ge, W., & McVay, S. (2007)
- Summary
- • 1 pages •
Summary of the following 10 papers: 
Hayne, C., & Free, C. (2014); 
Gates, S. (2006); 
Hall, M., Mikes, A., & Millo, Y. (2015)
Ng, J. (2011); 
Field, L., Lowry, M., & Shu, S. (2005); 
Kim, Y., Li, H., & Li, S. (2014); 
Bebbington, J., Larrinaga, C., & Moneva, J. M. (2008).
Power, M. (2009);
 Mikes, A. (2011); 
Doyle, J., Ge, W., & McVay, S. (2007)
Summary Corporate Valuation 2017
This summary is about Corporate Valuation, given at the RUG (Groningen) 2016-2017. All points are based on the mock examens from the last three years. Moreover, all relevant formulas will be discussed. The theory questions are also answered with some additional notes.
- Book
- Summary
- • 8 pages •
This summary is about Corporate Valuation, given at the RUG (Groningen) 2016-2017. All points are based on the mock examens from the last three years. Moreover, all relevant formulas will be discussed. The theory questions are also answered with some additional notes.
Summary Portfolio Theory MSc Finance
This summary discribes the main subjects of the course Portfolio Theory. The underlying literature for this summary is the book "Modern Portfolio Theory and Investment Analysis", and a helpful reader written by Plantinga, Auke, (2016).
- Book
- Summary
- • 11 pages •
This summary discribes the main subjects of the course Portfolio Theory. The underlying literature for this summary is the book "Modern Portfolio Theory and Investment Analysis", and a helpful reader written by Plantinga, Auke, (2016).
Summary Derivative Instruments MSc Finance
This peace of paper summarizes the most important parts of the book "Options, Futures, And Other Derivatives" (Hull). This summary is based on the frequently asked questions in the past 10 examinations of this course.
- Book
- Summary
- • 22 pages •
This peace of paper summarizes the most important parts of the book "Options, Futures, And Other Derivatives" (Hull). This summary is based on the frequently asked questions in the past 10 examinations of this course.
Summary Derivative Instruments MSc Finance
BIRM summary
Summary Derivative Instruments MSc Finance
This is a very basic summary.
FRRM summary papers
Summary Portfolio Theory MSc Finance