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Qualitätsmonitor 2019

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ISBN: 9783954664030 9783954664344 Year: Language: German
Publisher: MWV Medizinisch Wissenschaftliche Verlagsgesellschaft Grant: Knowledge Unlatched - 103642
Subject: Medicine (General)
Added to DOAB on : 2019-01-15 13:33:12
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Die Qualität der Versorgung, ihre Sicherung, Verbesserung und Incentivierung sind das erklärte Ziel der Krankenhausgesetzgebung der letzten Jahre. Für die Diskussion über Bewertung, Vergütung und Kommunikation von Qualität im medizinischen Versorgungsgeschehen liefert der Qualitätsmonitor 2019 weitere Impulse. Das Werk greift jährlich relevante Themen aus stationärer und sektorenübergreifender Versorgung auf. Die Fachbeiträge gehen dabei der Frage nach, wie sich das Versorgungssystem unter Qualitätsaspekten gestalten lässt und wie Versorgungsqualität transparenter gemacht werden kann. Weiterhin werden Strukturanforderungen einer qualitätsorientierten medizinischen Versorgung diskutiert und die wissenschaftliche Evidenz zur Gestaltung relevanter Versorgungsbereiche zusammengefasst. Eine weitere Sektion zeigt Eckdaten zur Versorgungsstruktur und Qualitätsdaten der deutschen Krankenhäuser. Der Qualitätsmonitor 2019 unterstützt fundiert die Qualitätssicherungsdebatte in Deutschland.

Keywords

Medicine --- quality --- health care --- health system --- germany

System transferability of public hospital facility management between Germany and Iran

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Book Series: Karlsruher Reihe Bauwirtschaft, Immobilien und Facility Management / Institut für Technologie und Management im Baubetrieb, Universität Karlsruhe (TH) ISSN: 18675867 ISBN: 9783866443952 Year: Volume: 4 Pages: XV, 385 p. DOI: 10.5445/KSP/1000012005 Language: ENGLISH
Publisher: KIT Scientific Publishing
Subject: General and Civil Engineering
Added to DOAB on : 2019-07-30 20:02:01
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The subject of this PhD-thesis is the transferability of Facility Management (FM) by using the example of hospitals in Germany and Iran. The intention is to determine the status and significance of facility management in the project countries, to analyse similarities, semblances and differences in order to develop a system transferability model.

Die Digitale Transformation im Gesundheitswesen

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ISBN: 9783954663262 9783954663576 Year: Language: German
Publisher: MWV Medizinisch Wissenschaftliche Verlagsgesellschaft Grant: Knowledge Unlatched - 103092
Subject: Medicine (General)
Added to DOAB on : 2018-04-11 11:01:51
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Der digitale Wandel macht vor keiner Branche halt: Die Digitalisierung wird auch die Gesundheitswirtschaft in den nächsten Jahren deutlich verändern. Dies betrifft Kostenträger und Leistungserbringer, aber vor allem die Versicherten und Patienten, die durch digitale Lösungen eine aktive Rolle als souveräne Kunden einnehmen werden. Online-Apotheken greifen die stationären Apotheken an, das Krankenhaus 4.0 setzt auf digitale Patientenakten, Start-ups und Entrepreneure bauen an Apps und Lösungen für ein innovatives Gesundheitssystem. Das Buch beleuchtet aus verschiedenen Perspektiven praxisnah und fundiert die Digitalisierung im Gesundheitswesen. Akteure aus Politik, Krankenversicherung, Gesundheitseinrichtungen, Selbstverwaltung und Wirtschaft verorten ihre Institutionen in der digitalen Transformation. Experten, junge Entscheider und Start-ups zeigen Chancen, Herausforderungen und Grenzen auf und gehen der Frage nach, wie die Digitalisierung die Gesundheitsversorgung verändern wird.

Perspektiven des Medizinrechts im 21. Jahrhundert

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ISBN: 9783940344083 Year: Language: German
Publisher: Universitätsverlag Göttingen
Subject: Law
Added to DOAB on : 2011-11-04 00:00:00
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Series "Göttinger Schriften zum Medizinrecht" (medicine law), which deals with several important debates in modern medicine such as gene therapy, research with embryonic stem cells, bio databases, living organ donation, and in general the economisation of the health system.

Risk Measures with Applications in Finance and Economics

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ISBN: 9783038974437 / 9783038974444 Year: Pages: 536 DOI: 10.3390/books978-3-03897-444-4 Language: eng
Publisher: MDPI - Multidisciplinary Digital Publishing Institute
Subject: Business and Management
Added to DOAB on : 2019-08-28 11:21:27
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Risk measures play a vital role in many subfields of economics and finance. It has been proposed that risk measures could be analysed in relation to the performance of variables extracted from empirical real-world data. For example, risk measures may help inform effective monetary and fiscal policies and, therefore, the further development of pricing models for financial assets such as equities, bonds, currencies, and derivative securities.A Special Issue of “Risk Measures with Applications in Finance and Economics” will be devoted to advancements in the mathematical and statistical development of risk measures with applications in finance and economics. This Special Issue will bring together the theory, practice and real-world applications of risk measures. This book is a collection of papers published in the Special Issue of “Risk Measures with Applications in Finance and Economics” for Sustainability in 2018.

Keywords

falsified products --- medication --- health risk --- low-income country --- regular vine copulas --- tree structures --- co-dependence modelling --- European stock markets --- carbon emissions --- fossil fuels --- crude oil --- coal --- low carbon targets --- green energy --- spot and futures prices --- Granger causality --- volatility spillovers --- quasi likelihood ratio (QLR) test --- diagonal BEKK --- full BEKK --- dynamic hedging --- socially responsible investment --- multivariate regime-switching --- time-varying correlations --- volatility transmission --- conscientiousness --- openness to experience --- perceived ease of use --- perceived usefulness --- online purchase intention --- dynamic conditional correlation --- generalized autoregressive score functions --- time-varying copula function --- CoVaR --- utility --- credit derivatives --- stochastic volatility --- asymptotic approximation --- risk aversion --- portfolio selection --- need hierarchy theory --- two-level optimization --- variance --- coherent risk measures --- probability of default --- bank risk --- banking regulation --- SYMBOL --- financial stability --- China’s food policy --- sustainable food security system --- japonica rice production --- two-level CES function --- technological progress --- Project Financing --- Mezzanine Financing --- option value --- Monte Carlo Simulations --- probabilistic cash flow --- optimizing financial model --- risks mitigation --- investment profitability --- financial hazard map --- random forests --- early warning system --- bank failure --- B-splines --- inflation forecast --- monthly CPI data --- out-of-sample forecast --- the sudden stop of capital inflow --- financial security --- the optimal scale of foreign exchange reserve --- utility maximization --- finance risk --- liquidity premium --- uncertainty termination --- investment horizon --- Amihud’s illiquidity ratio --- factor models --- diversification --- bank profitability --- bank risk --- dynamic panel --- European banking system --- sustainability of economic recovery --- Bayesian approach --- conjugate prior --- cartel --- leniency program --- policy simulation --- S&P 500 index options --- gain-loss ratio --- risk-neutral distribution --- binomial tree --- risk management --- market timing --- moving averages --- risk-free rate --- returns and volatility --- financial risk --- bankruptcy --- regression model --- sustainable development --- Slovak enterprises --- sentiment analysis --- polarity --- scientific verification --- emotion --- joy --- sadness --- climate change --- GMC --- VIX --- RV5MIN --- causal path --- ANN --- sovereign credit default swap (SCDS) --- emerging market --- markov regime switching --- credit risk --- risk assessment --- risk measures --- IPO underpricing --- financial crisis --- information asymmetry --- financial risks --- business groups --- financial performance --- group-affiliated --- institutional voids --- production frontier function --- stochastic frontier model --- specification testing --- wild bootstrap --- smoothing process --- empirical process --- simulations --- stakeholder theory --- sustainability --- risk --- social efficiency --- banking --- cooperative banks --- Data Envelopment Analysis (DEA) --- corporate sustainability --- news release --- stakeholder theory --- stock return volatility --- EGARCH-m --- life insurance --- term life insurance --- whole life insurance --- self-perceived health --- objective health status --- future health risk --- SHARE --- national health system

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