СОВЕРШЕНСТВОВАНИЕ МЕТОДА ПОВЫШЕННОЙ РЕНТАБЕЛЬНОСТИ ДЛЯ ОЦЕНКИ СТОИМОСТИ БАНКА
https://doi.org/10.21686/2500-3925-2015-2-25-28
Аннотация
Об авторе
Матвей Дмитриевич БондаренкоРоссия
Список литературы
1. Damodaran A. Valuing Financial Service Firms. 2009. - с. 22
2. Copeland T. E., Weston J. F., Shastri K. Financial Theory and Corporate Policy. Fourth edition. Pearson Addison Wesley. 2005
3. Schwesernotes. 2011 Certified Financial Analyst (CFA) level 1 book 3: Financial reporting and analysis. Kaplan Schweser. 2010. - с. 153-155
4. Kalluci I. Analysis of the Albanian banking system in a risk-performance framework. Bank of Greece. Economic Research Department. February 2011. - с. 11
5. Schwesernotes. 2011 Certified Financial Analyst (CFA) level 1 book
6. Corporate Finance, Portfolio Management, and Equity investments. Kaplan Schweser. 2010. - с. 41
7. Damodaran A. Valuing Financial Service Firms. 2009. - p. 22
8. Copeland T. E., Weston J. F., Shastri K. Financial Theory and Corporate Policy. Fourth edition. Pearson Addison Wesley. 2005
9. Schwesernotes. 2011 Certified Financial Analyst (CFA) level 1 book
10. Kalluci I. Analysis of the Albanian banking system in a risk-performance framework. Bank of Greece. Economic Research Department. February 2011. - p. 11
11. Schwesernotes. 2011 Certified Financial Analyst (CFA) level 1 book
12. Corporate Finance, Portfolio Management, and Equity investments. Kaplan Schweser. 2010. - p. 41
Рецензия
Для цитирования:
Бондаренко М.Д. СОВЕРШЕНСТВОВАНИЕ МЕТОДА ПОВЫШЕННОЙ РЕНТАБЕЛЬНОСТИ ДЛЯ ОЦЕНКИ СТОИМОСТИ БАНКА. Статистика и Экономика. 2015;(2):25-28. https://doi.org/10.21686/2500-3925-2015-2-25-28
For citation:
Bondarenko M.D. IMPROVING THE EXCESS RETURN METHOD FOR THE PURPOSE OF BANK VALUATION. Statistics and Economics. 2015;(2):25-28. (In Russ.) https://doi.org/10.21686/2500-3925-2015-2-25-28