//--> //--> //-->
Toggle navigation
Logout
Change account settings
EN
DE
ES
FR
A-Z
Beta
About EconBiz
News
Thesaurus (STW)
Research Skills
Help
EN
DE
ES
FR
My account
Logout
Change account settings
Login
Publications
Events
Your search terms
Search
Retain my current filters
~subject:"Deutschland"
~subject:"International financial market"
~subject:"Risikomanagement"
~type_genre:"Multi-volume publication"
Search options
All Fields
Title
Exact title
Subject
Author
Institution
ISBN/ISSN
Published in...
Publisher
Open Access only
Advanced
Search history
My EconBiz
Favorites
Loans
Reservations
Fines
You are here:
Home
Search: subject_exact:"Portfolio planning"
Narrow search
Delete all filters
| 4 applied filters
Year of publication
From:
To:
Subject
All
Deutschland
International financial market
Risikomanagement
Portfolio selection
28
Portfolio-Management
28
Theorie
13
Theory
13
Risk management
7
Financial analysis
6
Finanzanalyse
6
Financial investment
5
Financial market
5
Finanzmarkt
5
Kapitalanlage
5
Financial economics
4
Germany
4
Kapitalmarkttheorie
4
Welt
4
World
4
CAPM
3
Internationaler Finanzmarkt
3
Investitionsrisiko
3
Investment risk
3
Portfoliomanagement
3
Bank
2
Börsenkurs
2
Financial services
2
Finanzdienstleistung
2
Finanzierung
2
Finanzierungstheorie
2
Foreign portfolio investment
2
Immobilienwirtschaft
2
Option pricing theory
2
Option trading
2
Optionsgeschäft
2
Optionspreistheorie
2
Portfolio-Investition
2
Real estate industry
2
Rendite
2
Share price
2
more ...
less ...
Type of publication
All
Book / Working Paper
6
Article
4
Type of publication (narrower categories)
All
Multi-volume publication
Article in journal
2,426
Aufsatz in Zeitschrift
2,426
Graue Literatur
774
Non-commercial literature
774
Arbeitspapier
619
Working Paper
619
Hochschulschrift
479
Aufsatz im Buch
436
Book section
436
Thesis
388
Collection of articles of several authors
152
Sammelwerk
152
Lehrbuch
98
Aufsatzsammlung
92
Textbook
90
Bibliografie enthalten
82
Bibliography included
82
Handbook
54
Handbuch
54
Collection of articles written by one author
45
Sammlung
45
Konferenzschrift
31
Case study
24
Fallstudie
24
Ratgeber
23
Glossar enthalten
21
Glossary included
21
Conference proceedings
18
Guidebook
15
Bibliografie
11
Conference paper
11
Konferenzbeitrag
11
Mehrbändiges Werk
10
Amtsdruckschrift
9
Government document
9
Festschrift
6
Elektronischer Datenträger
5
Forschungsbericht
5
Reprint
5
more ...
less ...
Language
All
English
6
German
4
Author
All
Beck, Andreas
2
Lesko, Michael
2
Stulz, René M.
2
Stübner, Peter
2
Stückler, Ralf
2
Elizalde, Abel
1
Fabozzi, Frank J.
1
Hippler, Frank
1
Hofmann, Jörg
1
Karolyi, G. Andrew
1
Koutmos, Gregory
1
Lee, Cheng F.
1
Philippatos, George C.
1
Wirtz, Manuel
1
more ...
less ...
Institution
All
Global Association of Risk Professionals
1
Published in...
All
Risiko-Manager
4
The international library of critical writings in financial economics
2
An Elgar reference collection
1
CEMFI working paper
1
Wiley finance
1
Source
All
ECONIS (ZBW)
10
Showing
1
-
10
of
10
Sort
relevance
articles prioritized
date (newest first)
date (oldest first)
1
Handbook of quantitative finance and risk management
Lee, Cheng F.
(
contributor
)
-
2010
Persistent link: https://www.econbiz.de/10008651388
Saved in:
2
Handbook of finance
Fabozzi, Frank J.
(
contributor
)
-
2008
Persistent link: https://www.econbiz.de/10003712479
Saved in:
3
Risiko- Rendite-Steuerung in Immobilienportfolien : Modell zur Risikoquantifizierung in Immobilienportfolien, Teil 2
Wirtz, Manuel
;
Stübner, Peter
- In:
Risiko-Manager
(
2007
)
14
,
pp. 1, 8-15
Persistent link: https://www.econbiz.de/10003509295
Saved in:
4
Zentrale Managementaufgaben im Rahmen der Gesamtbanksteuerung : strategische Asset-Allokation, Teil 2
Beck, Andreas
;
Lesko, Michael
;
Stückler, Ralf
- In:
Risiko-Manager
(
2007
)
21
,
pp. 18-21
Persistent link: https://www.econbiz.de/10003555004
Saved in:
5
Vermögensbilanz, Kennzahlen und Risikoaggregation als Basis für die strategische Asset Allokation, Teil 1
Beck, Andreas
;
Lesko, Michael
;
Stückler, Ralf
- In:
Risiko-Manager
(
2007
)
20
,
pp. 1,6-11
Persistent link: https://www.econbiz.de/10003546584
Saved in:
6
Risiko-Rendite-Steuerung in Immobilienportfolien : Risikoanalyse von Immobilienanlagen. Teil 1
Stübner, Peter
;
Hippler, Frank
;
Hofmann, Jörg
- In:
Risiko-Manager
(
2007
)
13
,
pp. 1, 8-13
Persistent link: https://www.econbiz.de/10003502013
Saved in:
7
Credit risk models
Elizalde, Abel
(
contributor
)
-
2006
Persistent link: https://www.econbiz.de/10003494054
Saved in:
8
Readings for the financial risk manager
Stulz, René M.
(
contributor
)
-
2005
Persistent link: https://www.econbiz.de/10003833872
Saved in:
9
International capital markets
Karolyi, G. Andrew
(
contributor
); …
-
2003
Persistent link: https://www.econbiz.de/10001716790
Saved in:
10
International securities
Philippatos, George C.
(
contributor
); …
-
2001
Persistent link: https://www.econbiz.de/10001563598
Saved in:
Results per page
10
25
50
100
250
A service of the
zbw
×
Loading...
//-->