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Pénzgazdálkodási szokások hatása a működőtőkére. A Magyar Posta példája
[The effect of financial management habits on operating capital. The example of the Hungarian Post Office]

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Author Info

  • Havran, Dániel

    ()

Abstract

A hálózatos iparágakban, ahogy a postai szolgáltatásoknál is, a forgalomban lévő készpénz nagyméretű működőtőkét jelenthet. A Magyar Posta a levél- és csomagkézbesítésen kívül jelentős készpénzforgalmat bonyolít le: nyugdíjakat, segélyeket és készpénz-átutalási megbízásokat továbbít. A forgalom napi ingadozása a vállalat likvideszköz-igényét jelentősen meghatározza. A posta esetében a postahivatalok készpénzgazdálkodása jól működő hüvelykujjszabályokon keresztül történik, ezek a szabályok döntési teret hagynak a hálózat heterogén egyedi szereplőinek. Az egyedi készletezési viselkedést a vállalati működőtőke meghatározásakor figyelembe kell venni. A tanulmány az egyedi készletezési szokások modellezésére új módszertant ajánl, majd a viselkedésmintákat csoportosítva a pénzkészletezésnek, a vállalati működőtőke szintjének és a vállalati likviditási pozíciónak a kapcsolatát elemzi. Journal of Economic Literature (JEL) kód: C15, D85, G21, G32, L87

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Bibliographic Info

Article provided by Közgazdasági Szemle Alapítvány (Economic Review Foundation) in its journal Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences).

Volume (Year): LV (2008)
Issue (Month): 10 ()
Pages: 907-926

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Handle: RePEc:ksa:szemle:1051

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  1. Peter Boswijk & Cars H. Hommes & Sebastiano Manzan, 2005. "Behavioral Heterogeneity in Stock Prices," Tinbergen Institute Discussion Papers, Tinbergen Institute 05-052/1, Tinbergen Institute.
  2. Morris, James R., 1983. "The Role of Cash Balances in Firm Valuation," Journal of Financial and Quantitative Analysis, Cambridge University Press, Cambridge University Press, vol. 18(04), pages 533-545, December.
  3. John Foster, 2005. "From simplistic to complex systems in economics," Cambridge Journal of Economics, Oxford University Press, Oxford University Press, vol. 29(6), pages 873-892, November.
  4. Daellenbach, Hans G., 1974. "Are Cash Management Optimization Models Worthwhile?," Journal of Financial and Quantitative Analysis, Cambridge University Press, Cambridge University Press, vol. 9(04), pages 607-626, September.
  5. Moretto, Michele & Tamborini, Roberto, 2007. "Firm value, illiquidity risk and liquidity insurance," Journal of Banking & Finance, Elsevier, Elsevier, vol. 31(1), pages 103-120, January.
  6. Milne, Alistair & Robertson, Donald, 1996. "Firm behaviour under the threat of liquidation," Journal of Economic Dynamics and Control, Elsevier, Elsevier, vol. 20(8), pages 1427-1449, August.
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