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Der Kapital- bzw. Wertpapiermarkt ist neben dem Geld- und dem Kreditmarkt die dritte Säule für die Finanzierung von … Wertpapierdienstleistern unter Effizienzgesichtspunkten. Er vergleicht bestehende aufsichtsrechtliche Vorschriften für den Wertpapierhandel in …
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Grundlagen -- Ablauf von NPL-Transaktionen und Bewertung von NPL -- Workout durch Banken oder Dritte? -- Motivationsfaktoren für die Durchführung von NPL-Transaktionen -- Problembereiche bei NPL-Transaktionen -- Empirische Betrachtung von Motivationsfaktoren bzw. Problembereichen --...
Persistent link: https://www.econbiz.de/10014424820
Monetary Policy of Indonesia Central Bank -- 14. Socio-Economic Development and its Effect on Performance of Islamic Banks … is increasingly seen as a way of dealing with the different dimensions of systemic risk. But many central banks, bank … regulation, policy, tools and instruments; governance, systematic risk, monetary policy, and bank leverage, the editors provide a …
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General Introduction -- Theoretical Background -- Attractiveness of European Financial Centers -- Evidence from Domiciliation Decisions in the Mutual Fund Industry -- Impact of the Domiciliation Decision on Fund Fees -- General Conclusion -- Appendix.
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This book provides an up-to-date overview of the development of the German financial system, with a particular focus on financialization and the financial crisis, topics that have increasingly gained attention since the crisis and the discussion on the secular stagnation started. The authors of...
Persistent link: https://www.econbiz.de/10012398227
Risk budgeting models set risk diversification as objective in portfolio allocation and are mainly promoted from the asset management industry. Albina Unger examines the portfolios based on different risk measures in several aspects from the academic perspective (Utility, Performance, Risk,...
Persistent link: https://www.econbiz.de/10014021208