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الاثار الاقتصادية والاجتماعية لسياسات الاصلاح الاقتصادي في مصر والعراق The Economic And Social Effects of The Economic Reform Policies In Egypt And Iraq

اسم المؤلف: علي كاظم هلال
اسم المشرف: عباس جبار الشرع
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2012
مكان الجامعة: بغداد
المستخلص: The research in all aspects of Economic Reform Policies is consider as a wide subject in its a broad and complex in its contents , the first Side of those policies relate with the overall demand , Starting from the nature of the link between the accumulation of debt and its problems and the necessary adaptations to be implemented within the national economy , To correct the imbalance in the balance of payments of the fiscal and monetary and price policies those associated with short term , So , the Second aspect concerns with the overall offer which associated with the mechanisms of market and the internal nature which specified the role of the state in the implementation of the required adjustments in all macroeconomic policies to raise the efficiency of resource allocation and the creation of the legislative environment related to the medium term and long - term. Both Egypt and Iraq have adopted the Economic Reform Policies supported by the International Monetary Fund and World Bank ( WB & IMF) After intensification of the external debt crisis and the decline of various economic and social indicators ,since the historical facts highlights that despite of the historical difference between the application of approved programs, but the general conditions that are used in Egypt, Iraq, enlisting the help of IMF is similar to a large extent with each other, as we note that an major internal imbalance and external deficits and a significant jump in inflation and a sharp deterioration in all macroeconomic indicators The study is divided into four chapters, the first chapter included Tries to represent the theoretical and conceptual of Economic Reform Policies and Human Development , while the second chapter Dealt with the analysis and Evaluation Economic Reform Policies and its impact in the human development in Egypt. Chapter third with the analysis and Evaluation Economic Reform Policies and its impact in the human development in Iraq. This study aimed to shed light on the policies of Economic Reform Policies followed by Egypt, Iraq, and their success in addressing the structural imbalances, whether to create a stable environment or through the necessary legislation to shift toward a market economy, and then know the effects that can be induced in human development indicators. The survey work started from the premise that the Economic Reform Policies - backed (WB & IMF) and which were subject to application of Egypt and Iraq were not feasible active and remained unable to address economic and social imbalances, which adversely impacted the decline in human developmentindicators The study found that compliance with the prescriptions (WB & IMF) have had negative implications for economic and social, it did not lead to the prosperity and social welfare in those countries and contributed to the dismantling of their existing economic , rising unemployment and spreading poverty among the population
الصفحات الاولى:

التخطيط الاستراتيجي للنهوض بمشاريع شبكات الصرف الصحي في محافظة الديوانية : مشروع ال حمد انموذجا Strategic Planning Projects For The Advancement of Sewage Networks In The Province of Diwaniyah (Project Al Hamad) Model

اسم المؤلف: علي فاهم جعفر سلمان
اسم المشرف: فيصل اكرم نصوري
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: يعد قطاع الصرف الصحي من القطاعات المهمة التي تسهم في توفير خدمات مهمة للمواطنين الا ان هذا القطاع تعرض الى تدهور وتخريب معظم منشات معالجة مياه الصرف الصحي بما فيها من محطات الضخ نتيجة الحروب المتلاحقة والحصار الاقتصادي والتدهور السياسي والامني ما بعد عام | The sewage sector of the important sectors that contribute to the provision of important services to the citizens, however, the sector subjected to the deterioration and destruction of most of the facilities sewage treatment including pumping stations as a result of successive wars and the siege of economic and political security post in 2003 and deterioration resulting in a decline in the level of services provided to citizens.As for sewage services it is still below the required level despite the magnitude of the investment exaggeration allocated to this area, and that the national development plans (2010 - 2014) in Iraq and what followed from the plan did not come into force because of the security and economic deterioration in the country did not meet the needs of this deteriorating sector, both public and private, and that the main problem in dealing with this situation is the weakness in the planning offset poor in the design and implementation by companies on the ground, which calls for a serious stand by the decision - makers to take advantage of the strengths and the opportunities available by and reduce vulnerabilities and to overcome threats from the other side.We conclude from the above that there is a real problem in the wastewater sector in Iraq in general and in the province of Diwaniyah in particular, including Hamad project of the province of Diwaniyah and the suffering of the problems and the possibility of its development through the selection of companies that have experience and specialization in the implementation of the sewage sector projects and choose the alternative optimized for the implementation of the lagging ones, and to benefit from the outputs of sewage recycling operations in economic terms using the experiences of selected countries.
الصفحات الاولى:

سياسة دعم الاسعار لقطاع الكهرباء في العراق Support Prices Policy In The Field of Electric Power Generation In Iraq

اسم المؤلف: عـلي طالب حسيـن السعدي
اسم المشرف: مناهل مصطفى عبد الحميد العمري
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: تعد سياسة دعم الاسعار من الادوات التي تستخدمها الدولة للتاثير على مستوى الاسعار بطريقة تسهم في اعادة توزيع الدخول او جعل الاسعار مستقرة نسبيا بما يلائم مستوى الاجور او دعم عملية الانتاج من اجل زيادة منتوجات المرفق، وهذا يعني خلق محفزات تشجيعية للمنتج وا | The support prices of the tools used by the state to influence the price level by reducing or increasing prices in a way contribute to the re - distribution of income or make prices relatively stable to suit the level of wages or support the production process in order to increase the facility products policy ,This means creating incentives incentive for the product and the consumer and achieving economic well - being,, And this policy is the set of actions and the foundations and principles associated with achieving certain goals, whether social or economic support is reflected in the budget to be defined according to a specific Emperical support program for a period of time usually a year, This research and support prices for the electricity sector policy on the grounds that the electricity sector of the vital sectors and the main engine of the economy and the various activities and in spite of continued support for the electricity sector for many years But this support did not achieve the desired goal and directing this support is the right locality where this support directed to meet the electricity sector losses resulting from pricing policies wrong and fixed costs that continued upward as a result of what he suffered this sector of the destruction of most of the production, transmission and distribution stations operations because of the circumstances experienced by Iraq ,So we are trying through this study can make support for the electricity sector heading the right way through what has been put Sinaryohat help from the electricity sector to benefit from the support as well as setting pricing policies suited to the current economic situation in Iraq and try to advancement of the electricity sector
الصفحات الاولى:

قياس وتحليل اثر السياسة النقدية في بعض متغيرات الاقتصاد العراقي للمدة 1995 - 2013 Measure And Analysis The Effect of Monetary Policy In Some Variables of The Iraqi Economy For The Period 1995 - 2013

اسم المؤلف: علي صبيح حسون
اسم المشرف: هناء عبد الحسين محيميد الطائي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: The analyses of monetary policy according to various developments which required the analyses the course and curriculum of monetary theory and through the role of money in the economy.Some see that money is influence and causative element in economic development and economic activity in general and on the long term.Others see that there is a relation between money offer and economic development but it is not causative relation but it is complimentary relation.Occurrence of the change in the monetary amounts is not considered the basic elements that cause economic development but it is the necessary condition.As the monetary policy is one of the total economic instruments which could have a role in in achieving the economic stability in Iraq.Thus the Central Bank of Iraq must Activate its monetary instruments.This research started from the theory that " there is a dynamic positive relation between the influence of the monetary policy and some of economic variables represented by ( exchange price ,inflation rate, gross national production ,interest price ,money of supply , general price indicator ).This may be interchangeable influence and each one direct towards the other ".The importance of the this research comes from the analyses of features and direction of monetary policy in Iraq before and after 2003 and analyses and study the monetary policy with some economic variables in Iraq in the light of Central Bank independency as well as tin measure the influence of monetary of economic changes in Iraq in the period1995 - 2013.The most important conclusions we found in the study is that the central Bank has made many amendments on the interest rate (policy rate) for the purpose of reforming, development of the financial institution in particular, and to add a state of economic stability in general and to fight deflation and confronting the stock speculation. In addition to that and through the quantitative aspect the degree of responding to the general level of prices to the changes is (0.807) which means that the changes resulted in the GDP in percentage of %100 leading to a change in the general level of prices in rate of (%80.7). the general level response of the interest rate is (2.27) which means that the changes in the interest rate is (%100) leading to a change in the general level of price of percentage (%227.,) while the degree of response to the general rate of changes in the monetary supply is (1.080) which means that the change in the monetary supply is (%100) leading to changes in the general level of prices in percentage of (%108). That indicates the fact that the exchange rate has a role in effecting the general level of prices and the less important thing is that monetary supply influence the general level of prices which marks the weakness of the real sectors of the Iraqi economy. The most important recommendations are the Central Bank daily interference in the exchange rate for the purpose of maintaining the stability of the Iraqi dinar rate to confront the expectations of deflation. If the Central Bank does not interfere, then sever deviations will occur on the general level of prices and deflator pressures occur
الصفحات الاولى:

كفاءة الانفاق الحكومي وفق معايير العدالة التوزيعية في العراق للمدة 2003 - 2013 The Efficiency of Government Spending According To The Distributive Justice Standards In Iraq

اسم المؤلف: علاء حسين سعيد الزيدي
اسم المشرف: حمدية شاكر مسلم الايدامي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: تؤدي السياسة المالية دورا مهما في الاقتصاد القومي من خلال العمل على تخصيص واستخدام الموارد الاقتصادية وتوزيعها على مجمل الانشطة باختلاف انواعها والتاثير في حجم الطلب الكلي, وتمثل السياسة المالية ذراع الدولة المهم في تنفيذ سياستها الهادفة الى تحسين المست | Financial policy practices an important and big impact in the national economy through the Work on the allocation and use of total resources and distribut it on the the overall activities of different kinds and the effect in the size of the total demand and the Income policy of support and social expenditures, The financial policy represents the Important arm of the state In the implementation of its policy which is aimed to improve Standard of living and raise the level of social care.Achieving these goals depends directly on the effeciency of the financial management of the govermantal expenditure which representes one of the most important tools of the financial policies and the most influential in achieving goals Which should take into account social dimensions as well as economic dimensions, Market failures in providing public services and the private sector inability to provide it, made the state infront of main tasks to provide these services and And work to correct the imbalances and the advancement of their improvement in order to achieve the desired goals, thus the improvment of the living standards came through the elimination of unemployment and reduce its levels povrety reduction and reducing the number of poor by providing and improving projects and increase support towards the poorer classes Advancement of social care and increase the quantity and quality of inclusiveness for the disadvantaged and raise the level of education and the advancement of Its reality and raise its efficiency and work to develop it is the most important and the most prominent targets of government spending.The government seeks to achieve a high efficiency of government spending depends on the provision and the allocation and implementation of government programs optimally and efficiently to ensure the achievement of the efficiency of financial inputs and its technical outputs based on which the efficiency of government spending and the quest to achieve economic, social and political goals are judged.The government spending in Iraq and what it witnessed from changes and developments, especially after 2003, which it outweighed consumption expenditure at the expense of capital expenditure and the increasing support and diversity of its trends towards improving the living coditions for members of the society by seeking to achieve a fair distribution of income and improving the standards of living and reducing the poverty and unemployment and raise the level of education and the advancement of its reality did not achieved its goals in raising the standard of living, and achieving a high and advanced level to the distributive justice in Iraq, where it produced us a high levels and rates of unemployment, at all its levels and categories, as well as unproductive underemployment which dominates most of the state institutions which result in a high situations and levels of poverty and deprivation in a large segment of society so the incomes and the ration card and the social care as the most important mean of support directed towards the poor was not with high efficiency and importance to achieve its goals, it has seen a decline and a decrease in the levels of customization, implementation, and optimization of resources, To reflect negatively on education in achieving its objectives and the advancement of its low in terms reality as the government expenditures that directed toward this vital and important sector away from the desired level of ambition in making fundamental radical changes to improve its performance in terms of financial allocations and level of education desired.The researcher reached a major conclusion that requires the necessity of reconsidering allocations and raise the levels and restructured in the way that will ensure its orientation towards the main goals of achieving a high level of distributive justice and implementing and exploiting of expenses allocated optimally efficient and without any deviation from the planning and governmental programs established path, This is because the elements of allocation and implementation are two essential and important standards to achieve efficiency, because there is no point of allocation of funds without a good and efficient implementation, as well you can not achieve a good and efficient implementation of government programs and plans without the presence of an appropriate financial allocation that is sufficient to achieve the drawn goals and plans and that the state is seeking to achieve
الصفحات الاولى:

تحليل موضوعية مؤشرات التنمية البشرية في ظل العوائد النفطية في العراق للمدة 2003 - 2014 Objective Analysis of Human Development Indicators In The Light of Oil Revenues In Iraq For The Period 2003 - 2014

اسم المؤلف: عقيل مكي كاظم
اسم المشرف: لورنس يحيى صالح
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: ان الاستثمار بالبشر عبر التنمية البشرية, لهو واحد من افضل واهم الاستثمارات نظرا لقابلية هذا المورد البشري على التجدد والتطور بمرور الزمن بالمقارنة مع نظيره المورد المادي الناضب بمرور الزمن, خصوصا اذا ما اتيحت لهذا للمورد البشري مستويات متقدمة على صعيد ا | That investing in human beings through human development, and one fun of the best and most important investments due to the ability of this human resource regeneration and development over time compared with his material supplier depleted over time, especially if they are given to the human resource advanced levels on the health front, education, level of living.. these three important elements which are indispensable for any people of the peoples of the world with him, they are the basics and requirements of the modern life of the States in search of better standard of living under the formed human development umbrella originally from these three elements, which was hoped for was promoted by the sense that guaranteed to be reflected actually not digitally on the ground reality in Iraq, which is in dire need of such development in the light of the challenges that have suffered and suffered since for quite some time, especially after 2003, after this year, Iraq has got the oil revenues growing annually on the grounds that revenues that finance the annual budgets overshadowed by oil revenues primarily, but despite this growing revenue, the actual impact on human development indicators have not Iike objective level when our analysis with a way that parallels the increase in financial returns, although digital increase is taking place at the level of indicators of the three aspects of human development, this increase the digital non - objective is far from reality, which suffers in most cases, many of the phenomena and the negative effects that disappeared behind this digital increase to the extent that is possible to be described when we have the a non - objectivity in comparison with the size of the growing annual revenue on the one hand and in comparison with Turkey states and the United Arab Emirates On the other hand
الصفحات الاولى:

دور الصناعات الصغيرة للنهوض بالاقتصاد العراقي Role The Small Industrial To Rise The Iraqi Economics

اسم المؤلف: عقيل عبد الحسين عودة الطائي
اسم المشرف: اسعد جواد كاظم الانصاري
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2009
مكان الجامعة: البصرة
الصفحات الاولى:

البنك المركزي والاقتراض الحكومي

اسم المؤلف: عفراء هادي سعيد
اسم المشرف: عوض فاضل اسماعيل الدليمي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2004
مكان الجامعة: بغداد
المستخلص: The common thoughts among the economists until the 1970’s decade, were that the financial policy had important expanding influences on the real total product development, and according to this opinion, the increase in the size of government agreement could participate in increasing the rate of economic growth, and a complained with the thoughts on increase in requesting the government to interfere in the economic activities to face the negative traces (results) which were by the monetary and financial which also threatened the international economy, in spite of the negative wan traces. With the expansion of the governmental interference , the growth of its need for the financial resources to cover it’s increasing growth expenditures facing the lack in it’s normal financial resources , which resulted in a continuos lack in the general budget , which also motivated the countries to search for ways that could participate in enhancing this lack.In order to assure obtaining these resources locally , the countries went towards expanding it’s law and administrative relation ships with the central banks in order to influence on tasks of these banks in a way that could facilitate it’s obtaining for credits and depts and facing the governmental lack first and constituting the central banks in the countries that miss these banks secondly.But , this interference by the government in the economic activity did not stop the down rise in the economic situation , cause the negative results were reflected on the national economy through an increase in the monetary establishment and the upraise in the cash flow size , these results were expanding just on the value of the general governmental dept in one hand , and on the nature of the relation between the government and the central bank in the other hand , which caused an uprisal in the aims resisting it , and that was also just in time with the developments witnessed by the economical thinking attempting to bring back the classical libralic thoughts which went through the world in the two centuries the 18th and 19th , and after noticing the government interference to stop and limit the expansion of the economic disasters , this interference was under great disappointment from the new classic libralic thinkers.Thus , the economical developments witnessed by the advanced countries were associated with the emerge of the globalization phenomena and the regression of the government economic role , and the limiting the negative results for the governmental dept and to demand the avoidance for the central banks from the government influence and it’s effects on determining the monetary policy , these changes were accompanied by determining functions at the central bank in order to minimize the inflation.These developments anticipated in limiting the governmental volume because of the law constrains which were included in the law of central bank and to limit and stop the negative results and effects resulting from the governmental dept process from these banks, specially in the industrials advanced countries Study assumption The central bank has a role in supplying and financing the government, but the increased depending on this source and what comes with it of bad results , like increase in the inflation rates and affecting negatively on the monetary policy, that explained the attempt especially in the advanced industrial countries, to independence from the government influence in order to minimize the negative results. The study goal1. Determining the central bank’s links and it’s relation with the government and the nature of the logical relation with the government. 2. Determining the financial relation between the central bank and the government ,and determining the explaining factors for having the government willing to obtain the credit from it.3. Studying the effectiveness of central bank independence in determining and limit the inflation and financing the government in the industrial and growing countries.The Study (Progress) In order to reach the study goals , the research was divided to three chapters, each one of them contains several metho - dolagies and theories. in addition to the confusion and recommendations as follows : The first chapter was concerned with the initial establishment of the central banks and its relation with the government through four searches, the first was specialized in studding the historical development for the birth of central banks , while the second search was with what were the central banks and the development it witnessed , while the third search handled the central banks tasks and it’s great relation with the monetary and financial inventories for the government , finally , the fourth search was concerned with the logical nature of the central banks relation with the government. The second chapter came with the address of the financial relation between the central bank and the government, and it was covered through five searches, the first handled defining the general dept and it’s laws, and the second focused on the establishment of internal general dept, while the third factors came with an address of the explaining factors for having the government lend the loons from the central bank. The third chapter was concerned with the central bank independence and it’s reflections on the government dept. And that was through three searches , the first was defining the central bank independence , the second focused on the effect of the relation between the central banks and the government historically ,the third specialized in studying the economic reflections for the central bank dependency. Finally the study was sent with set of conclusions and recommendations were related with the search assumption and nature of the central bank’s independence in a general way
الصفحات الاولى:

تحديد المزيج الانتاجي الامثل في شركة واسط العامة للصناعات النسيجية باستخدام اسلوب البرمجة الخطية Determination of The Optimal Product - MIX In General Wasit Company For Textile Industries By Using The Method of Linear Programming

اسم المؤلف: عرفان جليل كريم الشمري
اسم المشرف: صلاح مهدي عباس البيرماني
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2009
مكان الجامعة: بغداد
المستخلص: The importance of planning increased in general and production planning in particular and its role maximized over years, being the basic pillar that are depended in planning the branch activities concerned, and a method for organizing economic in different countries and it has its basic rules and methods the matter that motivates us to study it in details.The men who are responsible for production planning face the problem of choice between the number of available possibilities and all these problems are solved according to the personal approbation and practical experience, but when the choice problems become complex, it becomes difficult to depend on experience and experiment only to reach to the right choice ( the ideal ) and then the new mathematical methods mush be used to solve these problems.Accordingly, the idea of focus on linear programming is originated which became one of the methods that are most used in the field of different establishments production planning by showing the effectiveness and efficiency of this method in expressing the production plans with quantitative method, and if me look deeply and in auditing way to the different production processes if me find that it is possible in many situation, to get certain product in many technical methods by using varied production methods, that in the industrial applications, there are a large number of industries that allowing to substitute certain types of items with others.the deep analysis of production methods shows that the production methods that use the same methods cannot be of one or similar characteristic or descriptions but They one Different from each other in one characteristic or other, and thus, the research find that in spite the first and quick view of production process may lean an impression that for each product a defined method for its production or it requires the using of certain resources, but the fact that there are a large number of solutions that are possible for each production question beginning from choosing the items that are necessary for production and ending with the method of products transforming and distributing, and practically, the persons who are responsible for production planning in the establishment face different production problems that require the ideal and suitable solution within the group of possible solution that the best possible solution when the production resources are limited is the solution that secures the larger possible result from exploiting these resources.The process of finding the ideal solution is very complex, as the quantity of possible solutions is very cage, the matter which makes the process of choosing the ideal solution among them by comparisons need along time and a big effort and then the work becomes impossible practically and here the vole of mathematical programming came which provide the men who are responsible on production planning in the establishment with mathematical method, especially the method of linear programming which allows the finding of ideal solution for production and economic questions without the resourcing to the studying of all possible solutions and their comparison.
الصفحات الاولى:

فاعلية السياسة النقدية ودورها في الاستقرار الاقتصادي في العراق للسنوات 1991 - 2006 Effectiveness of Monetary Policy And Its Role In Economic Stability In Iraq For The Years (1991 - 2006)

اسم المؤلف: عدنان محمد حسن الشدود
اسم المشرف: مصطفى مهدي حسين
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2009
مكان الجامعة: البصرة
الصفحات الاولى:

القدرة التنافسية لبعض الاقتصادات العربية مع اشارة خاصة للعراق للمدة 2004 - 2007 Competitiveness For Some Arabian Economies With Special Reference To Iraq For Period (2004 - 2007)

اسم المؤلف: عدنان فرحان عبد الحسين الجوارين
اسم المشرف: نبيل جعفر عبد الرضا المرسومي زهرة حسن عباس التميمي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2010
مكان الجامعة: بغداد
الصفحات الاولى:

اهمية الرقابة على مشروعية العقود الحكومية في محافظة ميسان The Importance of Control On Government Contracts Legality In Maissan Province

اسم المؤلف: عبد الزهره حسين نجم العطواني
اسم المشرف: فضيلة سلمان داوود
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دبلوم عالي
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: تعد الرقابة على مشروعية العقود الحكومية احدى الوظائف التي تمارسها الادارة والتي ترتبط ارتباطا وثيق الصلة بالعملية الادارية وتعد في الوقت نفسه الاداة الفعالة لتحقيق الاهداف التي تسعى المؤسسات الحكومية لتحقيقها والمتمثلة في اشباع الحاجات العامة، كما ان نظ | Control system on government contracts is considered as one of the most important functions conducted by the management, which is tightly linked to supervising on the management processes in away helps the government corporate achieve its strategic objectives. Control system on the management processes is considered as well as a reflective mirror to the quality of the work done by the management.The control system on the government contracts points out any defected or legally breached actions which helps the management to modify it through uncovering the deviations happening away from the path of the corporate strategic or operational plans and sheds light on the causes and proposes solutions to deal with them. The control system helps in making sure that the financial actions match the valid authorities, regulations and instructions and ensures that the authorities granted to the management are not used negatively or unfairly. It makes sure are as well that that management is not overriding the individuals rights and freedoms because the main purpose of these authorities is helping the management conducts its tasks and functions smoothly. Based on the above, the researcher chose - through the practical side of the research sample - to study everything related to the government contracting activity administratively, technically and legally in order to : • Determine the supervisory role on the legality of the government contracts. • Identify control system's ability to cease the administrative and financial corruption phenomenon. • The direct impact of the control system in guiding the management decisions to be within the framework drawn to it by the law and the constitutionThe researcher relied on a set of reports and resources that helped him to a bunch of important conclusions and recommendations, such as : • The poor performance of the internal control devices of the government corporate may cause in a lot of financial mistakes. • The poor performance of the internal control devices of the government corporate may result in the emergence of corruption, which leads to a lack of accountability means which is related to the financial irregularities.• Inaccuracy in preparing projects' cost estimation which leads to the public money waste. • Accuracy should be considered as much as possible in order to achieve the targeted objectives. • The justice in distributing the financial allocations among the administrative units enhances trust in the control system devices.
الصفحات الاولى:

تقويم اثار برامج التصحيح الاقتصادي في المملكة المغربية

اسم المؤلف: عبد الجبار هاني عبد الجبار السامرائي
اسم المشرف: علي عبد محمد سعيد الراوي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2004
مكان الجامعة: بغداد
الصفحات الاولى:

تحليل اثار السياستين النقدية والمالية على بعض المتغيرات الاقتصادية الكلية لدول مختارة للمدة 1998 - 2008 Analyzing of Effects of Monetary And Fiscal Polices On Some Aggregate Economic Variables For Selected Countries For The Period 1998 - 2008

اسم المؤلف: عبد الجبار هاني عبد الجبار السامرائي
اسم المشرف: علي عبد محمد سعيد الراوي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2011
مكان الجامعة: بغداد
المستخلص: The subject of monetary policy and financial policy is considered to be one of the most important and revived subjects, according with the revival and change of the economic variables which are reflected in the different economic indicators; which the effects of the two mentioned policies can be analyzed through them, separately or together.Analyzing the effects of the two policies is an overlapping and a considerable matter, because the two policies have overlapping and considerable aims and tools. In addition, they may be affected sometimes by the economic changes and they become - or one of them becomes - a cause of the change in the economic activity, i.e. stand behind the event instead of leading it. This matter requires continuous monitoring, evaluating and adaptation of the aims and tools of the two policies via their middle and final indicators.The subject of monetary policy and financial policy is considered to be very important in different economic systems and economies; whether they were directed with a specific degree or follow the market mechanism in managing their economies with a contrast in the relative importance of one policy comparing with the other one, via the contrast of the economic system and its development degree. Mostly, the directed economies appear in the financial policy; while the monetary policy appears in the economies which follow the market mechanism due to the independence of the monetary authority. Also, the degree of the country economic development and the availability of the financial and monetary abilities have a role in showing which policy is the most effective in achieving the economic aims; whether in overcoming a crisis or a defect, or in achieving a continuous and everlasting development.The subject of monetary policy and financial policy has been discussed; either each policy has been discussed separately or both of them have been discussed together in many researches and studies in the local (in Iraq) and international levels. Many of them were precious researches and studies, and they determined the principals of the two policies work and the intersection and contrast points between them. Most of the studies issued by the International Monetary Fund (IMF) and the Central Bank assured that the problems, related to economy, of the developing countries are due to incorrect monetary and financial policies. They are exaggeratingly expanding, restricting, or contrasting between the functions of the two policies. Also, these studies mostly speak about the typical construction of the tow policies (Optimal Policies). In addition, these studies discuss what the developing countries suffer from, including structural problems in spite of the availability of the financial and monetary abilities, especially in Iraq and Saudi Arabia, in order to achieve great steps in progress, development and promotion. This study is considered to be a contribution which may be helpful in the researches and studies series in analyzing the effects of the two policies together in the economy activity cycle.THE RESEARCH IMPORTANCEThe research discusses the most important problems and aims which most economies work hard to overcome or achieve via the correct launching point, which is depending on real, ambitious and effective monetary and financial policies; according to the problems and defects which the countries of this study suffer from, and the resources, available abilities and the nature of the international status of these countries, and the effects of all these factors in the local economic decision of the countries under study.THE AIM of THE RESEARCHThe research aims to reach and be close to the intersection points in the work of the two policies, by meeting and coordination or by contrasting in order to reach a degree of coordination between the two policies in terms of tools and aims. The monetary policy may tend to be expanded in its tools like the public debts, while the financial policy tends to adjust the monetary supply and control the inflation. Also, complications may differ in their amounts in each policy, i.e. the tax complication of the financial policy may achieve an effect which contrasts with the complication of the monetary policy in spite of tending the two policies to have the same aim and direction. THE PROBLEM of THE RESEARCHTheoretically, there is a contrast problem between the ideological schools, especially the treasury and monetary schools, in adopting the suitable financial policy or monetary policy.While practically, there is a problem of weak coordination between the monetary and financial authorities in adopting the priority of the aims and tools.THE geographical elementThree countries were chosen : Jordan, Saudi Arabia and Iraq; with giving Iraq the priority in the analysis and investigation, especially it witnesses a new trial of following monetary and financial policies based on the market mechanism after (2003). Previously, Iraq followed a central planning system in managing its economy. Jordan and Saudi Arabia were chosen because they represent a geographical, historical and economic propagation of Iraq, because they achieved great steps in the economic correction, which is considered to be a new trial in Iraq. Also, the yielding economy of Saudi Arabia is similar to that of Iraq in many of its components.While Jordan has a limited economic resources and it mainly depends on the external grants and relieves, and its trade with the neighboring countries, especially Iraq. Thus, it forms a tolerable trial in the field of applying the economic reforms comparing with close trials in their economic characteristics.THE ELEMENT of TIMEThe period of (1998 - 2008) was chosen as the programs of economic correction had been appeared in that period obviously in Jordan and Saudi Arabia; and the monetary and financial policies began to take their roles more obviously and effectively in overcoming the temporary crisis in particular, and directing towards the long - terms aims. In Iraq, this stage witnessed great and significant changes. In 1998, the Iraqi economy began to adapt to the economic embargo; and the monetary policy began to play the greatest role in moderating the uncontrolled inflation at that time and indicating that the monetary policy was not very effective due to the subordination of the monetary authority to the financial authority at that time. The period after (2003) witnessed significant changes after occupying the country and eliminating the international sanctions which was imposed since (1991). Iraq pursued towards a new economic philosophy in managing the economic activity, and adapting a free economic system and the market mechanism in managing the economic activity.THE RESEARCH ASSUMPTIONThe research based on the assumption of the independency of the monetary and financial policies in determining the priority of aims and adopting the tools and the middle and final aims. But both of these policies intersect via economic variables which differently affect the economic activity in a contrast way or in a coordinating way. The monetary policy was more effective in treating specific defects in the economies under study, or in stimulating specific economic variables. While the financial policy, was more effective in other variables or in treating specific defects
الصفحات الاولى:

الامن والتنمية : دراسة حالة العراق للمدة 1970 - 2007 Security And Development Studing Iraq Case For The Period 1970 - 2007

اسم المؤلف: عباس علي محمد
اسم المشرف: نبيل جعفر عبد الرضا المرسومي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2010
مكان الجامعة: البصرة
المستخلص: The relationship between security and development is at a large degree of overlap and imbrications ,where the security plays a positive role in achieving development by creating the appropriate atmosphere to achieve its objectives. Also ,the security destructs its pillars and blocks its steps if it is not available in a required extent and format. In other hand , development plays a role in achieving security through the provision of the potential financial and material needs. In the case of the absence of this support ,thedegradation and loss are the natural results of the security.So, the security and development represent the parties of the stability and prosperity equation.This reflects the situation in Iraq where the security and development walk in opposite directions ,especially at the beginning of the eighties of the last century ,despite the change that happens in 2003 ,which led to the interaction between the two.But ,the development after the planning to go in the right direction that has emerged through the improvement of economic and social indicators during the seventies ,results in slide and fall because of thinking in security through the provision of military capabilities. Atthe same time ,the security is weekend and missed as a result of the expansion of the armed and unarmed threats.All these give the great importance to this subject and the conducting of this study.
الصفحات الاولى:

فاعلية اداء الاسواق المالية في ظل الازمات الاقتصادية في بلدان مختارة Effectiveness of The Functioning of Financial Markets In Light of Economic In Selected Countries

اسم المؤلف: عامر عمران كاظم المعموري
اسم المشرف: ثائر محمود رشيد العاني هناء عبد الحسين الطائي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2009
مكان الجامعة: بغداد
المستخلص: In this study, the light had been shed on the relationship between of indicators stock market and business cycle in selected countries ,the study has been divided into three main chapters in order to test the validity of this hypothesis and achieving the aims of this study. The first one forms a conceptual and ideological of study and included three basic section. The second chapter dealt with Analyzing framework of study included two basic sections. While , chapter three has concentrated on the measure and analysis of the Feed back between stock market and business cycle. The study sample consist of six countries : USA, Mexico, Thailand, Malaysia, Korea, Egypt. It uses annual data covering the period (1983 - 2006).By using the Hsiao causality test has been used determine the direction of causality between indexes of stock market and business cycle.This study has yielded (concluded) many results from the theoretical and mathematical (econometric)First : "the conclusions of the theoretical aspect1 - Are the economies of industrialized countries over time, as with cases of depression and recovery, which affect to economic activity, and companies know that these conditions are strongly influenced by cycle companies, with sales booming with economic recovery and stagnation and decline in the shares of these companies know the stock prices rise as the periodic during the phase of prosperity and decline during the recession, the success of the investor depends on the type of the shares so to correct timing of the purchase 2 - The existence of a relationship and mutual influence between the work of primary and secondary markets, as the evolution and breadth of the work of the primary market leads to the development and expansion of the secondary market, through the development, diversification and expansion of new releases through the primary market, which offer the possibility of development and expansion of the secondary financial market activity, and using those issues later in their dealings, and in accordance with the clear understanding of this difficult chapter of the work and the development and expansion of these markets. 3 - financial derivatives is one of the most important features of modern financial developments during the last decade of the twentieth century, and these tools provide payments derived from other assets may be real or financial assets to cope with fluctuations and crises that have affected financial markets, which were used as tools to hedge against fluctuations in stock prices and rates interest and exchange rates. 4 - A shift in the characteristics of economic cycles, after the Second World War, becoming shorter courses "and less in terms of the duration of the decline in production or in terms of rates of deterioration in the indicators of economic activity and the disappearance of the global economic crisis as characterized by the unequal international distribution among countries capital, in addition to the lack of synchronization occur in those countries, but that this situation would be different during the eighties of the twentieth century and in the context of globalization has become the crisis overtaking the limits of all countries, whether developed or developing. 5 - The recurrence of financial crises and the breadth and speed of transition in the light of financial globalization is a controversial and attention to result in the damaging of a comprehensive and unexpected is not limited to the financial sector, but extends to other sectors and the effect of high economic costs have a negative effect not only in a crisis but extended beyond the borders to other countries. 6 - at the basis of the relationship between the performance indicators for the stock market situation of economic activity, the movement of stock prices is an important indicator to predict the economic cycle as they move in the opposite direction to the movement of bond prices, and up to the maximum level before the arrival of economic activity to the top of the recovery and up to lowest level before the arrival of economic activity to the bottom of the recession. 7 - The East Asian crisis occurred because of the big gap between the real sector and financial sector, which increased with the application of financial liberalization policies in the countries of East Asia, which has made the capital looking for a quick profit by speculating in the financial sector which has seen significant expansion and irresponsible, and take exercise role Parasitically hindering the process of economic growth, which has affected of the development the real economy and shot back, for the extent of the crisis and its spread from the center of the crisis (Thailand) It was during the economic vulnerability of financial markets and the integration of the global financial system. Through any channels of foreign trade and financial markets.8 - The degree of vulnerability of the Arab countries the financial crisis America is different from country to country, depending on the degree of economic openness and the degree of financial and economic development, countries are opening up the high and the Arab Gulf countries in particular will be more affected by and through the channels of oil and the dollar exchange rate stability. Second : the conclusions of the quantitative aspect 1 - The analysis showed that the standard linear model is the best expression of the models and the reality of the stock market in the United States. 2 - analysis showed that the standard non - linear model (Logarithm double) is the best model to reflect the reality of the stock market in each of the (Mexico, Thailand, Malaysia, South Korea, Egypt) 3 - The results of the United States signs an agreement with the estimated parameters form the logic of economic theory in terms of a direct correlation between stock market indices and the state of economic activity, except the number of companies that have demonstrated an inverse relationship because of the merger that took place between listed companies in the market. 4 - show a causal bilateral Feed Back casualty between stock market indices and the economic cycle, there is no impact of the market shares of economic activity is economic activity towards the stock market, which confirms the existence of a significant impact to the stock market on economic activity in the United States, as these are the efficiency of the market high. causal bilateral Feed Back casualty between stock market indices and the economic cycle, there is no impact of the market shares of economic activity is economic activity towards the stock market, which confirms the existence of a significant impact to the stock market on economic activity in the United States, as these are the efficiency of the market high. 5 - it seems that there is a causal relationship bilateral Feed Back casualty During the time lag between the first indicators of the stock market (the market index, the turnover rate) and the state of economic activity (economic cycle) in Mexico, in the direction of the market value, volume and the number of companies to the economic activity of the stock market, when considering the case of economic activity as the dependent variable.With the direction of the relationship when the stock market indicators as dependent variable of the independent variable (the case of economic activity) to the stock market indices, except the market value.6 - The results of measurement in Thailand and a positive relationship between stock market indices and the state of economic activity (economic cycle), it was determined to test the causal relationship that the two - way and at the failure except for the first time the number of companies. 7 - shows the measurement results on Malaysia as in accordance with the logic of economic theory, which pointed to the existence of a relationship between the soft variables, and confirmed through the test of causation and the existence of feedback between the stock market and the state of economic activity.8 - The results of South Korea in line with the logic of economic theory, which revealed the presence of a direct correlation between the stock market and the state of economic activity (economic cycle), which was evident from the test of causation as the two - way, except the number of companies.
الصفحات الاولى:

تحليل وقياس العلاقة السببية بين عرض النقود والناتج المحلي الاجمالي في بلدان مختارة (السعودية ومصر) للمدة (1980 - 2006) Analysis of The Measurement of Causality Relationship Between Money Supply And Gross Domestic Product In Countries Selected (Saudi Arabia & Egypt) For The Period (1980 - 2006)

اسم المؤلف: عامر عبد الله مجيد
اسم المشرف: محمد صالح سلمان الكبيسي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2008
مكان الجامعة: بغداد
المستخلص: تعد الدارسة القياسية التي تناول العلاقة المتبادلة ما بين المعروض النقدي والناتج المحلي الاجمالي ذات اهمية كبيرة لدول المنطقة للاسباب التالية : 1 - تعد هذه الدراسة محاولة اولية لوضع الملامح الرئيسية للعلاقة السببية بين كمية النقود والنشاط الاقتصادي.2 - افت | This econometric study which deals with an inter - relationship between money supply and Gross Domestic Product (GDP) is of great significance for the countries under consideration for the following reasons : 1. The study is considered an initial attempt to place the main characteristics for the causal relationship between quantity of money and economic activity.2. Lack of Arab library, in general and Iraqi library in particular, of comprehensive research and information in such areas that make this topic difficult and time - consuming; even lacking total understanding of its elements and the requirements of the subject matter and its accuracy.This study is, therefore, intended to achieve the following objectives : 1. Studying development of money supply and GDP in Saudi Arabia and Egypt.2. Use of Hsiao and Granger econometric tests to find out the causal relationship between money supply and GDP for countries under study.The study is based on the hypothesis : existence of a significant, bilateral, causal and functional relationship between money supply and GDP in the economy of Saudi Arabia, on the one hand; and a unilateral, causal relationship between the two variables in the Egyptian economy, on the other.The research arrived at the following conclusions : 1. Strength of the relationship between money supply as a dependent variable and GDP as an independent variable and vice - versa; that there is a bilateral, causal relationship in the Saudi Arabian economy.2. Strength of the effect of the relationship between GDP on the money supply - and not otherwise - that is; there is a unilateral relationship concerning Egyptian economy. According to the results of causal test, we conclude that changes in the quantity of money do not help in explaining changes in the GDP; while changes in the GDP does help in explaining changes in the quantity of money. Therefore, quantity of money cannot be used as a tool for economic policy to affect real economic variable in the Egyptian economy.3. What characterizes Saudi economy is its dependence on petroleum resources that reinforce various petroleum - related and non - related economic activities. While Egyptian economy is distinguished by the diversification of various productive and service sectors but because of the many impediments that faced Egyptian economy as of late the country could not achieve its prosperity as Saudi Arabia did.Finally the researcher recommends : 1. Saudi Arabia should diversify its economic structures to avoid the effect of shocks as a result of its reliance on one resource; oil for example, or as a result of international economic and political problems that are more severe on one - sided economies.2. Despite tangible achievements of Egyptian economy, particularly after the nineties of the past century, there still is dire need for diversification especially in more vital sectors which contribute effectively in the accumulation of money supply in export, financial and banking sectors besides tourism that help promote balance of trade accounts.3. The necessity of taking advantage of globalization by both countries in attracting foreign investments and revitalizing Arab Economic Union Agreement and draw on financial surpluses from rich Arab countries for investment purposes.
الصفحات الاولى:

كفاية السياسة المالية في تحمل العبء المالي الحكومي في العراق للمدة 2004 - 2014 مع اشارة لتجارب مختارة Fiscal Policy Efficiency In Shouldering The Financial Burden of Government In Iraq For The Period 2004 - 2014 With A Reference To The Experience of States

اسم المؤلف: عامر عبد الله مجيد الشيخاني
اسم المشرف: عماد محمد علي عبد اللطيف العاني
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2016
مكان الجامعة: بغداد
المستخلص: تزايد الجدل حول الدور الذي تؤديه السياسة المالية ومدى كفايتها في تحمل العبء المالي والمعبر عنها بالنفقات الجارية التشغيلية التي تتحملها حكومات البلدان المختلفة من اجل تقديم الخدمات العامة للمجتمع مهما اختلفت السياسات الاقتصادية للحكومة، بعد ما تزايد حجم | There has been a heated controversy over the role the financial policy plays and how sufficient it is in affording the financial burden. This burden is known as the operational current expenses which the governments of various countries mainly afford, despite the discrepancy in the government’s economic policy. After the deterioration and deficit in the state budget in all countries nowadays, it was necessary to find an appropriate mechanism so as to achieve the interaction and appropriateness between the main instruments of the financial policy on the realistic level with regard to their economy.This research aims to analyses the relationship between the main instruments of theState policy to encounter the increasing financial burden on the government, where the developing countries’ economy in general and Iraq’s in particular suffers from the financial policy’s inefficacy and feebleness due to the fluctuation of these governments’ policies. In addition, there is a lack of credibility for these governments to achieve a noticeable improvement that could create economic stability; especially most of the decisions made regarding the financial policy tend to be under the influence of policy makers.The study concludes that Iraq has been partially able to afford its operational expenses in spite of the economic, political, social, and security challenges he faced. Further, there was no active financial policy and a clear vision for attempting to diversify the revenue resources to depend on instead of depending on oil as the main source for taking the financial burden. In addition, Iraq economy suffers from a structural imbalance that negatively affects its capacity to diversify the revenues resources, while the financial policy has a significant place among other policies because it can play the major role in achieving the various aims due to its tools. These tools are considered as the most important economic administration tools in achieving economic stability and overcoming the problems of structural imbalance and weak economic diversification. As well as, the inveterate paralysis whirlpool in which the Iraqi economy has fallen into at the beginning of 2104 as a consequence of the heavy expenses of war on terror, not to mention the sharp decline of oil prices. The study provides a number of recommendations in which the most significant entails the necessity on working on diversifying the revenue resources for the Iraqi economy and to avoid depending heavily on oil and its derivatives. Also, there is a necessity of activating the non - oil revenue resources and working on their durability. For this purpose, rationalizing expenses strategy should be in accordance with the requirements of the Iraqi economy
الصفحات الاولى:

تنمية التخلف في بعض الدول النامية في ظل العولمة الاقتصادية : تجارب لدول مختارة The Development of Underdevelopment In The Developing Countries Within The Framework of Globalization The Experiments of Selected Countries

اسم المؤلف: عادل مجيد عيدان العادلي
اسم المشرف: مناهل مصطفى عبد الحميد العمري
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2010
مكان الجامعة: بغداد
المستخلص: شكل منتصف العقد الرابع من القرن العشرين البداية الحقيقية لانطلاق العولمة من خلال البدء باقامة مؤسساتها مثل صندوق النقد والبنك الدوليين، من قبل الدول الصناعية المتقدمة، وبعد عقد من زمن تاسيس تلك المنظمات تبنت الدول التي كانت تعاني من ظاهرة التخلف الاقتصادي | The mid of the 4th decades of the 20th century is the true beginning of globalization by establishing its procedures such as International Monetary Fund and the World Bank by the developed countries , After one decade of establishing those organization, the countries Suffering from economic backwardness phenomenon adopted the process of economic development to face this phenomenon and to get rid its hierarchical mistakes then to narrow the gaps between them and the developed countries. The study reached at that the going economic development process in the developing countries interacts with globalization resulting several developed experiments such as the experiment of South Korea where its lacking of natural resources doesn’t hinder the achieving of economic development while another countries failed in achieving development in spite of their natural resources and wealth's such as Brazil and Egypt where the poverty had been disseminated with its different forms.Also the study shows that the interaction between developing countries and globalization during the 20th century has different effects on development process, wile the success or failure of that process isn't relate with the political and economic system adopting by those countries but by its relation with the extend of existing of will with peoples and political leaders in achieving development, and with the extend of existing of management and planning to adopt the suitable policies to direct their economic trends toward development, beside the existence of future view.
الصفحات الاولى:

المقدرات الحصينة للارتباط الذاتي في انموذج السلاسل الزمنية الموسمية المختلط المضبب Robust Autocorrelation Estimation of Fuzzy SARIMA Models

اسم المؤلف: طاهر ريسان دخيل الخاقاني
اسم المشرف: عبد المجيد حمزة الناصر
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2012
مكان الجامعة: بغداد
المستخلص: غالبا ما تصاحب عملية جمع البيانات وجود قيم شاذة التي تؤثر بشكل كبير ليس فقط على عملية تشخيص الانموذج الملائم الذي يعتمد على معاملات الارتباط الذاتي والارتباط الذاتي الجزئي وانما يتعدى ذلك الى عملية تقدير معلمات الانموذج, ومن هنا فان هذا البحث يهدف الى جعل | The presence of outliers in data influences not only in model diagnostic, but exceed to parameters estimation. Therefore, the goal of this thesis is to make the autocorrelation coefficient robust against outliers to estimate parameters that will be robust depending on those coefficients. This goal is achieved by three suggestions the first and second are depending on Fuzzy Logic by suggest estimation procedure to estimate autocorrelation coefficients called Semi - Fuzzy Autocorrelation coefficient, and suggest another one called Semi - Fuzzy Kendall. The third is to extend the robust Percentage Bend Correlation method to use it in estimate the autocorrelation coefficients that will be used in parameter estimation. This thesis contains four chapters. The first chapter discuss general introduction, the previous studies and the purpose of this research. The second chapter views the general fundamentals, the theoretical field that related with outliers and its effectiveness in time series modeling, the using of fuzzy logic in time series and display the proposed procedure and its algorithm. The third chapter contains the empirical filed, the simulation experiment, results analysis and comparing by some criteria. The fourth chapter views the practical filed by study a daily time series of electrical load in Al - Qadisiya city in Iraq then apply the previous methods. The fifth chapter views the most important conclusions and recommendations that we get.
الصفحات الاولى:

قياس استقرارية دالة الانفاق الاستهلاك العائل في الاقتصاد السعودي للمدة 1970 - 2009 The Stability Measurement of Function Expenditure For Household Consumption In Saudi Economy For The Period (1970 - 2009)

اسم المؤلف: طالب هاشم جبار
اسم المشرف: مصطفى مهدي حسين
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2011
مكان الجامعة: البصرة
المستخلص: Total consumption is considered one of the main determinants in the composition of national in come. It represents the largest share of total expenditure in many countries of the world, consumption also play major vole in the economic and its growth it is, also, one of the main components of total demand, which gives it special importance, marking it a lively area for research aiming to reach scientific facts that would help the decision market to realize a vision and to set future planning of economic policies in countries of the world in, eneral and is Saudi Arabian particular. This study aims to estimate a model for household consumption in Saudi Arabia spanning the period from 1970 to 2009, through determining the variables that influence household consumption expenditure according to economic theory. The model was built using partial adjustment method and building a dynamic short term (co - integration) that takes in to account error correction in the time path towards along term equilibrium. And to avoid falling in to imprecise results , a test was conducted for the stability variable entering the model of household consumption the Saudi Arabia, using the adjusted Diekey - Fuller test and Pilliphs Pearn test, A co - integration test was also performed between the variables of the model through estimating the long run equilibrium relationship equation , and performing the second random error test using( ADF) and (PP) tests, Then dynamic short term model was built that was based on error correction (ECM).
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العوامل المؤثرة في سلوك تمهيد الدخل : دراسة في عينة من المصارف الاهلية في العراق Factors Influencing Behavior of Income Smoothing A Study In A Sample of Iraqi Private Banks

اسم المؤلف: طارق توفيق يوسف العبد الله
اسم المشرف: فاطمة جاسم محمد السعد
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2005
مكان الجامعة: البصرة
المستخلص: This study aims at demonstrating the importance of Income Smoothing behavior and internal and external factors, in addition to giving an insight about the most important studies, which dealt with this topic from all its aspects. The study was conducted on a sample of Iraqi private joint - stock banks in terms of whether or not these banks tend to the application of smoothing, as well as the influence of these factors on these banks.The study depended upon a set of hypotheses and reached to findings, the most important of them are the tendency of the study sample to practice smoothing behavior, and the great influence of internal and external factors on the research sample.It has beenclear that the internal factors have more influence than external ones, in varying degrees; in that the size factor has the greatest effect among other factors.The study presented a number of specific recommendations
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مديونية العراق الخارجية : الواقع والاثار للمدة 1980 - 2006 The External Debts of Iraq, The Status And The Effects, For The Period 1980 - 2006

اسم المؤلف: ضيدان طويرش هاشم المالكي
اسم المشرف: جليل شيعان ضمد البيضاني
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2008
مكان الجامعة: البصرة
المستخلص: The external debts are described as a shape of the external funds. The objective justification for that is the gap between the external and internal resources which belong to the historical roots of the early stages for the relationships among the countries of the excessive capital and the countries of deficit. This has been changed into a real debts crisis in the beginning of the eighties decade. of course this has been happened when the debts countries announced that they couldn’t paid those debts.The debts crisis belongs to many reasons some of those reasons are internal and others are external. In Iraq the crisis of debts belong to a mixture of external and internal reasons. Some of those debts were used to cover the war expenditures which some of them were because of the decline of the oil revenues in eighties. of course, this led to a decrease in the economic activities and inflation. Therefore this has been led to a deep economic impact according to the reflection of the debt volume and service of it on the economic and non - economic growth and development.Among these impacts is what would be resulted and resulted from the policy of coming out of this crisis across the international foundations which have the final judgment on the economic factors.All these thoughts would be studies taking into consideration the following hypothesis “the external debts help to attain the economic development”.This hypothesis could be tested by three chapters. The first deals with external funds discussing this chapter theoretically. The second one will discuss the status of the external debts in Iraq, while the third is going to deal with how to deal and solve the effects of the debts on Iraq. Finally, there are some suggestions and conclusions.
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التقييم الاقتصادي - المالي للشركة العامة لصناعة البطاريات للمدة (1992 - 2002) Economic - Financial Evaluation of The General Establishment of Batteries Industry For The Period (1992 - 2002)

اسم المؤلف: صفوان محمد شوقي حسام الدين البكري
اسم المشرف: هاشم علوان السامرائي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: ماجستير
اللغة: العربية
السنة: 2004
مكان الجامعة: بغداد
المستخلص: تعد عملية التقييم الاقتصادي - المالي احد المراحل المهمة التي يمر بها المشروع للارتقاء بمستوى كفاءة اداءه. اذ يتم من خلال هذه العملية مساعدة متخذي القرار لتحديد البديل الافضل، الذي يحقق اكبر ربحية من بين الاستثمارات المتعددة. وان الحاجة لعملية التقييم | Economic evaluation is considered as one of the important stages to towards reaching efficiency. By this evaluation decision’s makers can decide alternatives for their investments, which make them most lucrative. Also, economic evaluation stems from the fact that economic resources that are invested in projects are scarce. The hypothesis of this research is that the general establishment of the batteries industry suffers from low efficiency of performance, and therefore the goal is to alleviate such inefficiency.The chemical industry sector is consider an important economic sector in the national economy, because of its high contribution to national income formation, and plays an important role in economic development.The products of the general establishment are considered important goods because they include (21) products. Therefore, the title of this research became ‘economic - financial evaluation of the establishment of batteries industry (1992 - 2002)’.The application of several suitable economic evaluation criteria was used. Future plan for the establishment for the period (2005 - 2014) was built by the use of economic feasibility schedule and then this schedule has been tested by sensitivity analysis. This study covered four chapters. The first one the actual performance of the chemical sector and batteries industry in Iraq through the development of some economic - financial indicators for the period (1992 - 2002). The second one introduced the theoretical framework of the study with different economic evaluation criteria, which were used in the study. Also, the relative importance of this company in comparison to the chemical industry sector was shown.The third chapter dealt with the same application of economic criteria mentioned in the theoretical framework.for the period (1992 - 2002) using the actual data mentioned in the first chapter.The fourth chapter introduced the future plan for the period (2005 - 2014) by the use of economic feasibility schedule, with sensitivity analysis for the establishment.Finally, several conclusions and recommendations were mentioned about the establishment.
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قياس وتحليل استجابات السياسة المالية لصدمات معدل التبادل التجاري في دول مختارة للمدة (1990 - 2012) Measuring And Analyzing The Responses of Fiscal Policy To The Terms of Trade Shocks In Selected Countries For The Period 1990 - 2012

اسم المؤلف: صفاء علي حسين البكري
اسم المشرف: هناء عبد الحسين محيميد الطائي
الموضوع العام: الادارة والاقتصاد
الموضوع الدقيق: الاقتصاد
الدرجة: دكتوراه
اللغة: العربية
السنة: 2015
مكان الجامعة: بغداد
المستخلص: The Fiscal Policy is considered an important instrument of the Macroeconomic policy , because it provides tools and mechanisms that response to many shocks that face the national economy such as the Terms of Trade Shocks.Since the fiscal policy may take the procycle or countercycle path , that depends on the nature of the country and/or the type of shock.The hypothesis of this study as follows " The response of fiscal policy to the Terms of Trade Shocks leads to take Expansionary or Contractionary fiscal policy According to the shock?s type , which may be negative or positive , and it is effects on the level of economic activity ".This study aims at , firstly , the analyzing of the mechanism of fiscal policy response to the Terms of Trade Shocks in selected countries , and secondly , the measuring the scope of fiscal policy response to Terms of Trade Shocks in these countries , using Time Series for the period (1990 - 2012).The study consist of three chapters , the first one is devoted to the fiscal policy and terms of trade shocks as a theoretical framework. while the second chapter analysis the response of fiscal policy to these shocks (selected countries). the third one contains the measurement of fiscal policy response to the Terms of Trade shocks in these countries for the period (1990 - 2012).The study concluded that the fiscal policy response in Developed Countries (United States and Australia ) was countercyclical , while it was procyclical in Developing Countries , special those Oil - introducing (Ecuador and Iraq).And the researcher recommended that there is insist need to separates the relationship between the terms of trade and oil sector to avoid the terms of trade shocks that could be resulting from oil price fluctuations.
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