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Bericht der AG2: Risikomanagem...
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Estimation
Risikomanagement
109
Risk management
109
Portfolio selection
43
Portfolio-Management
43
Risikomaß
41
Risk measure
41
Theorie
35
Theory
35
risk management
24
Credit risk
23
Kreditrisiko
23
Risiko
23
Risk
23
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20
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20
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20
Finanzdienstleistung
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USA
16
United States
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Basel Accord
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Schätzung
12
Hedging
11
Measurement
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Messung
11
Original research
11
ARCH model
8
ARCH-Modell
8
Forecasting model
7
Prognoseverfahren
7
value-at-risk (VaR)
7
Bank
6
Corporate Governance
6
Corporate governance
6
Estimation theory
6
Financial crisis
6
Finanzkrise
6
Multivariate Verteilung
6
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6
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12
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Hanson, Samuel G.
2
Poddig, Thorsten
2
Schuermann, Til
2
Adam, Tim R.
1
Alemany, Ramon
1
Andersen, Torben
1
Bolancé, Catalina
1
Bollerslev, Tim
1
Chen, Jiusheng
1
Christoffersen, Peter F.
1
Cui, Xueting
1
Diebold, Francis X.
1
Fernando, Chitru S.
1
Fieberg, Christian
1
Kabaila, Paul
1
Li, Duan
1
Lüdemann, Stefan
1
Mainzer, Rheanna
1
Mertens, Richard Lennart
1
Muromachi, Yukio
1
Olschewsky, Michael
1
Padilla Barreto, Alemar E.
1
Pesaran, M. Hashem
1
Salas, Jesus M.
1
Sun, Xiaoling
1
Weiß, Gregor
1
Zhu, Shushang
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Journal of risk
Working papers / Financial Institutions Center
Journal of air transport management
15
Working paper / National Bureau of Economic Research, Inc.
13
Journal of banking & finance
10
Energy economics
9
NBER working paper series
9
Discussion paper / Centre for Economic Policy Research
8
Economic modelling
8
International review of financial analysis
8
NBER Working Paper
8
Applied economics
7
Finance research letters
7
Working papers
7
Gabler Edition Wissenschaft
6
SpringerLink / Bücher
6
Transportation research / E : an international journal
6
Insurance / Mathematics & economics
5
International journal of finance & economics : IJFE
5
Pacific-Basin finance journal
5
Risks : open access journal
5
Discussion paper / Tinbergen Institute
4
Journal of economic dynamics & control
4
Journal of empirical finance
4
Journal of financial economics
4
Journal of financial stability
4
Journal of international financial markets, institutions & money
4
Management science : journal of the Institute for Operations Research and the Management Sciences
4
Quantitative finance
4
Schriftenreihe Finanzmanagement
4
The North American journal of economics and finance : a journal of financial economics studies
4
Discussion papers / Technische Universität Dortmund Fakultät Statistik, SFB 823
3
Economics letters
3
International Journal of Energy Economics and Policy : IJEEP
3
International journal of transport economics : IJTE
3
International review of economics & finance : IREF
3
Journal of business & economic statistics : JBES ; a publication of the American Statistical Association
3
Journal of econometrics
3
Journal of economics & business
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ECONIS (ZBW)
12
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10
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1
Forecasting corporate defaults in the German stock market
Mertens, Richard Lennart
;
Poddig, Thorsten
;
Fieberg, …
- In:
Journal of risk
20
(
2017/2018
)
6
,
pp. 29-54
Persistent link: https://www.econbiz.de/10011962407
Saved in:
2
Why do firms engage in selective hedging? : Evidence from the gold mining industry
Adam, Tim R.
;
Fernando, Chitru S.
;
Salas, Jesus M.
-
2015
Persistent link: https://www.econbiz.de/10011334162
Saved in:
3
Improved estimation methods for value-at-risk, expected shortfall and risk contributions with high precision
Muromachi, Yukio
- In:
Journal of risk
17
(
2014/2015
)
5
,
pp. 1-27
Persistent link: https://www.econbiz.de/10011438902
Saved in:
4
Practical volatility and correlation modeling for financial market risk management
Andersen, Torben
;
Bollerslev, Tim
;
Christoffersen, Peter F.
-
2005
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10002636035
Saved in:
5
Firm heterogeneity and credit risk diversification
Hanson, Samuel G.
(
contributor
); …
-
2005
Persistent link: https://www.econbiz.de/10002636144
Saved in:
6
Confidence intervals for probabilities of default
Hanson, Samuel G.
(
contributor
);
Schuermann, Til
(
contributor
)
-
2005
Persistent link: https://www.econbiz.de/10002962298
Saved in:
7
Factor-risk-constrained mean-variance portfolio selection : formulation and global optimization solution approach
Zhu, Shushang
;
Cui, Xueting
;
Sun, Xiaoling
;
Li, Duan
- In:
Journal of risk
14
(
2011/12
)
2
,
pp. 51-89
Persistent link: https://www.econbiz.de/10009422361
Saved in:
8
Copula parameter estimation : numerical considerations and implications for risk management
Weiß, Gregor
- In:
Journal of risk
13
(
2010/11
)
1
,
pp. 17-53
Persistent link: https://www.econbiz.de/10008699157
Saved in:
9
Finite difference methods for estimating marginal risk contributions in asset management
Olschewsky, Michael
;
Lüdemann, Stefan
;
Poddig, Thorsten
- In:
Journal of risk
18
(
2016
)
5
,
pp. 63-99
Persistent link: https://www.econbiz.de/10011598391
Saved in:
10
Estimation risk for value-at-risk and expected shortfall
Kabaila, Paul
;
Mainzer, Rheanna
- In:
Journal of risk
20
(
2017/2018
)
3
,
pp. 29-47
Persistent link: https://www.econbiz.de/10011847463
Saved in:
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