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type_genre:"Fallstudie"
type_genre:"Hochschulschrift"
~subject:"Estimation"
~type_genre:"Aufsatz im Buch"
~type_genre:"Case study"
~type_genre:"Konferenzschrift"
~type_genre:"Lehrbuch"
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33rd Seminar of the European Group of Risk and Insurance Economist 18 - 20 September 2006 Barcelona
2
Essays on asset prices
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Perspektiven für die Agrar- und Ernährungswirtschaft nach der Liberalisierung : 55. Jahrestagung der Gesellschaft für Wirtschafts- und Sozialwissenschaften des Landbaues e. V. vom 23. bis 25. September 2015
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Quantitatives Controlling
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Sonderheft / Institut für Wirtschaftsforschung Halle
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Advanced bond portfolio management : best practices in modeling and strategies
1
Aktuelle Entwicklungen im Finanzdienstleistungsbereich : 3. Liechtensteinisches Finanzdienstleistungs-Symposium an der Fachhochschule Liechtenstein ; mit 50 Tabellen
1
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Current issues in risk management: reputation risks, spillover effects and risk disclosure under Solvency II
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Emerging market capital flows : proceedings of a conference held at the Stern School of Business, New York Univ. on May 23-24, 1996
1
Essays on portfolio optimization and infrastructure allocations
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Europäische Hochschulschriften / 5
1
Fiscal policy and management in East Asia : [NBER-East Asia Seminar on Economics, volume 16 ; this volume contains edited versions of papers at the NBER's East Asia Seminar on Economics 16th Annual Conference, held in Manila, the Philippines on June 23-25, 2005]
1
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Global risk management : financial, operational, and insurance strategies
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Innovative Agrarpolitik nach 2020
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Panel data econometrics : theoretical contributions and empirical applications
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ECONIS (ZBW)
98
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1
Volatility and systematic risks in financial markets
Würsig, Christoph Matthias
-
2022
Persistent link: https://www.econbiz.de/10013256100
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2
Resolution of defaulted loan contracts : an empirical analysis of default resolution time and loss given default
Betz, Jennifer
-
2018
Persistent link: https://www.econbiz.de/10012198130
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3
Modellierung und Steuerung impliziter Optionen in Kreditinstituten
Maurer, Frank
-
2019
Persistent link: https://www.econbiz.de/10011981570
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4
Risikomanagement für heterogene Finanzportfolios
Moys, Gunnar
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2018
Persistent link: https://www.econbiz.de/10011776858
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5
The challenges of catastrophe risk management : empirical analyses in the CAT bond market
Götze, Tobias
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2021
-
1. Auflage
Persistent link: https://www.econbiz.de/10012486162
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6
Die ökonometrische Bestimmung von Liquiditätsrisiken und deren Einfluss auf Finanzrisikoprognosen
Uffmann, Christina
-
2020
Persistent link: https://www.econbiz.de/10012115141
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7
Risk management in financial markets
Panz, Sven
-
2020
Persistent link: https://www.econbiz.de/10012254516
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8
Measuring risks for consumers, firms, and investors in the digital economy
Alves Werb, Gabriela
-
2020
Persistent link: https://www.econbiz.de/10012618693
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9
Determinants of residual values : empirical analyses of price effects in the used-car market
Gutknecht, Sebastian
-
2020
-
1. Auflage
Persistent link: https://www.econbiz.de/10012209769
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10
The international diversification puzzle : home bias in countries' investment portfolios
Kleinert, Helena
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2016
Persistent link: https://www.econbiz.de/10011414179
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