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Neu in dieser dritten Auflage sind die Themen immobiliengesicherte Wertpapiere und Hedge Fonds. Vor dem Hintergrund der Erfahrungen aus der Finanzmarktkrise ist gerade in diesen Bereichen ein vertieftes Verständnis der Funktionsweisen sowie der Chancen und Risiken besonders wichtig. Reto...
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being inherently prone to speculation and crisis, in contrast to the neo-classical approach which largely ignores the …
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This book introduces readers to a new approach to identifying stock market bubbles by using the illiquidity premium, a parameter derived by employing conic finance theory. Further, it shows how to develop the closed form formulas of the bid and ask prices of European options by using...
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Der Zertifikatemarkt hat in Deutschland in der Spitze ein Volumen von über 150 Milliarden Euro erreicht. Dieses riesige Volumen verteilt sich auf über 300.000 Produkte und Variationen. Für Anleger ist es schwierig, den Überblick zu behalten, da Emittenten baugleiche Zertifikate oft...
Persistent link: https://www.econbiz.de/10014015172
Investors have too often extrapolated from recent experience. In the 1950s, who but the most rampant optimist would have dreamt that over the next fifty years the real return on equities would be 9% per year? Yet this is what happened in the U.S. stock market. The optimists triumphed. However,...
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Chapter 1: Demystifying China’s Stock Market: The Hidden Logic behind the Puzzles -- Chapter 2: What Does History Tell Us? The Roots of China’s Modern Stock Market -- Chapter 3: A Government-Dominated Financial System -- Chapter 4: A Chinese style speculative market -- Chapter 5: The...
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This seventh edition of an investment classic has been thoroughly revised and expanded following the latest crises to hit international markets. Renowned economist Robert Z. Aliber introduces the concept that global financial crises in recent years are not independent events, but symptomatic of...
Persistent link: https://www.econbiz.de/10012402206