Search results for "Crisi"

showing 10 items of 1042 documents

Lo nuestro es lo de todos

2008

QuiebraEconomía de guerraDeshonorVidal-Beneyto JoséAcciones: Acciones de una vida: Acciones Internacionales: Acción Institucional InternacionalSolidaridadRiesgoObjetivos del MilenioEconomíaEconomía realDeudaDesigualdadJusticiaSubsidiosFondosIgualdadOMCMuertesMercadoContracciónFMIBanco MundialColectivoVidaCorazónTodosOperacionesAutorregulaciónCrisis financieraFederico MayorVida económicaNEOLIBERALISMOLibertadNuestroSistemaCapitalismo financieroNaciones UnidasIndividuoRupturas
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Dal diritto penale fallimentare al diritto penale della crisi d'impresa e dell'insolvenza.

2019

L’articolo affronta i profili maggiormente significativi legati alla trasposizione della materia dei reati fallimentari dal r.d. 16 marzo 1942, n. 267, al d.lg. 12 gennaio 2019, n. 14, recante il nuovo codice della crisi d’impresa e dell’insolvenza. The article deals with the most significant aspects related to the transposition of the subject of bankruptcy crimes from the r.d. 16.3.1942, n. 267, to the legislative decree 12.1.2019, n. 14, bearing the new code of business crisis and insolvency.

Reati fallimentariSettore IUS/17 - Diritto PenaleCrisi di impresacodice della crisi d'impresa e dell'insolvenza.
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Euro Crisis and plurality: Does the political orientation of newspapers determine the selection and spin of information?

2016

This article studies the impact of right and left moderate political orientation of newspapers on the levels of plurality in the news coverage of the Euro Crisis in 20 newspapers from 10 European countries through a methodology based on Simpson’s D index. The expectation of finding distinct patterns of coverage leading to high levels of plurality was not fully supported and the results have shown that national frames influence levels of overall plurality more than political ideology.

Receiptgeographygeography.geographical_feature_categoryScope (project management)Communication05 social sciencesFellMedia studies050801 communication & media studiesLanguage and Linguisticslanguage.human_language0506 political scienceNewspaperBiology and political orientation0508 media and communicationsWork (electrical)Content analysis050602 political science & public administrationlanguageSociologyPortugueseEuro crisisNewspapersContent analysis
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La política económica en Rusia

2000

A partir de marzo del año 2000, Putin se ha consolidado como presidente de Rusia. Inmediatamente ha comenzado a introducir cambios políticos y ha dejado la reforma económica en un segundo plano. Sin embargo, a finales de junio ha visto la luz su estrategia de política económica. El objetivo de este artículo es analizar los contenidos de la política económica de Putin. En primer lugar, se destacan los objetivos del programa de política económica y, a continuación, se realiza una revisión de las principales políticas que se pretenden aplicar: macroeconómicas, estructurales, sectoriales y sociales. Finalmente, se apuntan algunos comentarios a esta nueva estrategia de política económica. tono@u…

Reforma estructuralPolítica económicaUNESCO::CIENCIAS ECONÓMICAS::Economía internacional::Economía internacional: Area EuropeaPolítica económica; Reforma económica; Reforma estructural; Crisis económica; RusiaRusia:CIENCIAS ECONÓMICAS::Economía internacional::Economía internacional: Area Europea [UNESCO]Reforma económicaCrisis económica
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ECR2 Economic Crisis: Resilience of Regions

2014

The picture of the economic situation in Europe resulting from the crisis that began in 2008 looks rather asymmetrical and diverse with regions that were not or hardly touched by the crises at all, with regions that were touched but that seem to recover rather progressively and with regions that still suffer quite a lot from the crisis. The fast and successful recovery of some particular regions strikes the eye and raises the question of what is behind this success. The economic crisis and recovery are at the core of all recent policy initiatives that set the framework for territorial development and cohesion policy. The objective of this project is to expose territorial evidence that suppo…

Regional economic resilienceeconomic and financial crisis[SHS.ENVIR] Humanities and Social Sciences/Environmental studies[SHS.ENVIR]Humanities and Social Sciences/Environmental studiesEuropean Union[SHS] Humanities and Social Sciences[SHS.SCIPO] Humanities and Social Sciences/Political science[SHS.SCIPO]Humanities and Social Sciences/Political science[SHS]Humanities and Social Sciences
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Replication crisis or an opportunity to improve scientific production?

2020

Replication crisisEconomic policyScientific productionPsychologyEducationEuropean Journal of Education
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Las representaciones sociales del alumnado sobre la crisis. ¿Qué soluciones ofrece el alumnado ante los problemas económicos?

2021

Este artículo presenta los resultados de una investigación sobre las representaciones sociales de adolescentes de 16 a 18 años de la actual crisis económica. Estos adolescentes pertenecen a dos grupos de bachillerato de un mismo centro educativo y provienen de contextos socioeconómicos similares, sin embargo uno de los dos cursa las asignaturas de Historia Contemporánea y Economía (Grupo A) y el otro no (Grupo B). Se recopila la información a partir de un cuestionario escrito sobre noticias actuales y de un grupo de discusión sobre el tema. Los resultados muestran la influencia de los medios de comunicación en las respuestas de ambos grupos y una mayor viabilidad de las soluciones propuesta…

Representaciones socialesCrisis y problemas económicosSolución de problemasProblem solvingPensamiento creativoCreative thinking:PEDAGOGÍA [UNESCO]Pensamiento críticoUNESCO::PEDAGOGÍASocial representationsCrisis and economic problemsCritical thinkingDidáctica de las Ciencias Experimentales y Sociales
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Industrial decline and resilience in the European Mediterranean periphery. Territorial and sectoral analysis in the region of Valencia (Spain) during…

2019

El descenso del sector industrial en la economía de la Comunitat Valenciana durante las dos últimas décadas ha sido muy acusado, ya que pasó del 25% del VAB en 1995 a menos del 17% en 2013. Este declive se explica por los cambios estructurales que tuvo que afrontar con la llegada del nuevo milenio para adaptarse a los nuevos patrones de producción y consumo propios de la globalización, que se vieron agravados por la crisis financiera de 2007. A partir de un enfoque por sectores y, a la vez, por territorios, se lleva a cabo un análisis de la evolución reciente de la industria valenciana. Se observa como el modelo predominante de esta industria sigue siendo el distrito industrial endógeno, si…

ResilienceGeography Planning and DevelopmentDistrito industrialConsumption (sociology)Gross value addedValencia region (Spain)Valencianlanguage.human_languageIndustrial districtComunitat ValencianaManufacturing sectorEconomyIndustriaPolitical scienceFinancial crisisIndustrial districtlanguageGeneral Earth and Planetary SciencesResilienciaIndustry
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Risk Management Optimization for Sovereign Debt Restructuring

2015

Abstract Debt restructuring is one of the policy tools available for resolving sovereign debt crises and, while unorthodox, it is not uncommon. We propose a scenario analysis for debt sustainability and integrate it with scenario optimization for risk management in restructuring sovereign debt. The scenario dynamics of debt-to-GDP ratio are used to define a tail risk measure, termed conditional Debt-at-Risk. A multi-period stochastic programming model minimizes the expected cost of debt financing subject to risk limits. It provides an operational model to handle significant aspects of debt restructuring: it collects all debt issues in a common framework, and can include contingent claims, m…

RestructuringFinancial economicsmedia_common.quotation_subjectGeography Planning and DevelopmentRecourse debtDebt-to-GDP ratioMonetary economicsDevelopmentportfolio optimizationstochastic programmingsovereign debtSettore SECS-S/06 -Metodi Mat. dell'Economia e d. Scienze Attuariali e Finanz.Debt0502 economics and businessEconomics050207 economicsDebt levels and flowsRisk managementmedia_common050208 financebusiness.industryconditional Value-at-RiskValue-at-RiskRisk metric05 social sciencesscenario analysiGreek crisiExternal debtExpected shortfallDebt restructuringdebt restructuringInternal debtPortfolio optimizationbusinessGeneral Economics Econometrics and FinanceValue at riskSenior debtJournal of Globalization and Development
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Current Account Adjustment and Retained Earnings

2018

This paper develops a formal strategy to calculate current accounts with retained earnings (RE) on equity investment and analyzes their adjustment during the global financial crisis. RE are the part of companies' profits which are reinvested and not distributed to shareholders as dividends. International statistical standards treat RE on foreign direct investment and RE on portfolio investment differently: while the former enter the current and financial account, the latter do not. We show that this differential treatment strongly affects current accounts of several advanced economies, frequently referred to as financial centers, with large positions in equity (portfolio) investment. Our em…

Retained earningsFinancial crisisEconomicsPortfolioCurrent accountMonetary economicsForeign direct investmentCapital accountPortfolio investmentInvestment (macroeconomics)Federal Reserve Bank of Dallas, Globalization Institute Working Papers
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