Risk management, expectations and global finance : the case of Deutsche Bank 1970-1990
Alternative title: | Risikomanagement, Erwartungen und globale Finanzen : der Fall der Deutschen Bank 1970-1990 |
---|---|
Year of publication: |
2023
|
Authors: | Nützenadel, Alexander |
Published in: |
Jahrbuch für Wirtschaftsgeschichte. - Berlin : De Gruyter, ISSN 2196-6842, ZDB-ID 2464394-4. - Vol. 64.2023, 2, p. 377-405
|
Subject: | Risk management | financial markets | banks | expectations | historical experience | Risikomanagement | Finanzmärkte | Banken | Erwartungen | historische Erfahrungen | Bankrisiko | Bank risk | Finanzmarkt | Financial market | Deutschland | Germany |
Extent: | Diagramme |
---|---|
Type of publication: | Article |
Type of publication (narrower categories): | Aufsatz in Zeitschrift ; Article in journal |
Language: | English |
Notes: | Literaturangaben |
Other identifiers: | 10.1515/jbwg-2023-0014 [DOI] |
Classification: | f65 ; G15 - International Financial Markets ; G17 - Financial Forecasting ; G32 - Financing Policy; Capital and Ownership Structure ; N2 - Financial Markets and Institutions |
Source: | ECONIS - Online Catalogue of the ZBW |
-
Risk management, expectations and global finance : the case of Deutsche Bank 1970-1990
Nützenadel, Alexander, (2022)
-
Risk management, expectations and global finance: The case of Deutsche Bank 1970-1990
Nützenadel, Alexander, (2022)
-
Modelling bank asset quality and profitability : an empirical assessment
Swamy, Vighneswara, (2015)
- More ...
-
Risk management, expectations and global finance : the case of Deutsche Bank 1970-1990
Nützenadel, Alexander, (2022)
-
Industrial Policies in Europe in Historical Perspective
Grabas, Christian, (2013)
-
Risk management, expectations and global finance: The case of Deutsche Bank 1970-1990
Nützenadel, Alexander, (2022)
- More ...