//--> //--> //-->
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
~institution:"Universität Mannheim"
~subject:"Risk measure"
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
The optimal approach to future...
Similar by subject
Narrow search
Delete all filters
| 2 applied filters
Year of publication
From:
To:
Subject
All
Risk measure
Portfolio selection
7
Portfolio-Management
7
Anlageverhalten
4
Behavioural finance
4
Theorie
4
Theory
4
Capital market returns
2
Estimation
2
Experiment
2
Financial market
2
Finanzmarkt
2
Kapitalmarktrendite
2
Risikomaß
2
Schätzung
2
USA
2
United States
2
Welt
2
World
2
behavioral finance
2
experimental finance
2
1976-2014
1
Anlageberatung
1
Bank liquidity
1
Bankenliquidität
1
Börsenkurs
1
Capital income
1
Confidence
1
Country risk
1
Decision under risk
1
Deutschland
1
Entscheidung unter Risiko
1
Entscheidungsfindung
1
Erwartung
1
Erwartungsbildung
1
Expectation formation
1
Financial advisors
1
Financial crisis
1
Financial econometrics
1
Financial investment
1
more ...
less ...
Online availability
All
Free
1
Type of publication
All
Book / Working Paper
2
Type of publication (narrower categories)
All
Graue Literatur
2
Hochschulschrift
2
Non-commercial literature
2
Collection of articles written by one author
1
Sammlung
1
Language
All
German
1
English
1
Author
All
Albrecht, Peter
2
Pekelis, Alexandr
1
Rickenberg, Lars
1
Institution
All
Universität Mannheim
National Bureau of Economic Research
4
Basel Committee on Banking Supervision
3
Friedrich-Schiller-Universität Jena
3
Sonderforschungsbereich Statistical Modelling of Nonlinear Dynamic Processes
2
University of Canterbury / Dept. of Economics and Finance
2
Columbia University / Graduate School of Business
1
Edward Elgar Publishing
1
Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart>
1
Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse
1
Springer Fachmedien Wiesbaden
1
Technische Universität Chemnitz
1
University of York / Department of Economics and Related Studies
1
Université de Lausanne / Institut de gestion bancaire et financière
1
Verlag Wissenschaft & Praxis Dr. Brauner GmbH
1
Walter de Gruyter GmbH & Co. KG
1
more ...
less ...
Source
All
ECONIS (ZBW)
2
Showing
1
-
2
of
2
Sort
relevance
articles prioritized
date (newest first)
date (oldest first)
1
Tail risk managed investment strategies
Rickenberg, Lars
-
2020
Persistent link: https://www.econbiz.de/10012483347
Saved in:
2
Quantilbasierte Wertsicherungsstrategien mit Futures
Pekelis, Alexandr
-
2018
Persistent link: https://www.econbiz.de/10012002196
Saved in:
Results per page
10
25
50
100
250
A service of the
zbw
×
Loading...
//-->