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ECONIS (ZBW)
2,592
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1
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1
Rechnungswesenbasierte Verfahren der Aktienbewertung : Theoretische und empirische Untersuchung des Residualgewinnmodells
Koch, Joachim
-
2005
-
Gabler Edition Wissenschaft
herkömmlichen Bewertungsmultiplikatoren werden in der
Theorie
und Praxis vorwiegend zahlungsstrombasierte Bewertungsmodelle …
Persistent link: https://www.econbiz.de/10013517359
Saved in:
2
Portfolio Construction, Measurement, and Efficiency : Essays in Honor of Jack Treynor
Guerard, Jr., John B.
(
ed.
)
-
2017
current methodologies. Such topics include the origins of portfolio
theory
, market timing, and portfolio construction in …
Theory
of Risk, Return, and Performance Measurement -- Ch 2 Origins of Portfolio
Theory
: Selection and Evaluation -- Ch 3 …
Persistent link: https://www.econbiz.de/10014020959
Saved in:
3
Currency Internationalization and Macro Financial Risk Control
Monetary Institute, International
(
ed.
)
-
2018
establishment on prospects for the internationalization of the renminbi as a reserve currency around the
world
. As China's economy …
Persistent link: https://www.econbiz.de/10012397338
Saved in:
4
Bank Funding, Financial Instruments and Decision-Making in the Banking Industry
Carbó Valverde, Santiago
(
ed.
); …
-
2016
This book provides insight into current research topics in finance and banking in the aftermath of the financial crisis. Expert authors authoritatively analyse how banks finance their activities and resolve funding issues. Chapters specifically discuss financial instruments such as corporate...
Persistent link: https://www.econbiz.de/10012398192
Saved in:
5
Realwirtschaftliche und finanzwirtschaftliche Internationalisierung : Die besondere Relevanz für Emerging Market Multinationals
Graser, Stephanie
-
2011
Aufstrebende Unternehmen aus Nationen wie z.B. China oder Indien - Emerging Market Multinationals (EMNCs) - erlangen zunehmende Präsenz auf den Weltmärkten. Die Finanzkrise verdeutlichte die Relevanz der Finanzierung u.a. von (Internationalisierungs-) Strategien. Stephanie Graser untersucht im...
Persistent link: https://www.econbiz.de/10014425274
Saved in:
6
Fundamental Beta : Ermittlung des systematischen Risikos bei nicht börsennotierten Unternehmen
Scheld, Alexander
-
2013
Kapitalmarktheoretische Beta-Erklärungsansätze -- Verfahren zur Ermittlung des Betafaktors bei nicht börsennotierten Unternehmen(steilen) -- Zusammenhänge fundamentaler Kennzahlen und Beta -- Panelanalytisches Beta-Zusammenhangs- und Prognosemodell -- Multifaktor Beta-Modelle.
Persistent link: https://www.econbiz.de/10014016952
Saved in:
7
Indexeffekte am europäischen Kapitalmarkt : Eine Analyse aus der Perspektive börsennotierter Unternehmen
Schmidt-Tank, Stephan
-
2005
-
Gabler Edition Wissenschaft
Der bei der Umstellung von Aktienindizes zu beobachtende Indexeffekt ist ein in der Finanzierungstheorie und in der Kapitalmarktpraxis viel beachtetes Phänomen, das in der Kapitalmarktforschung auf großes Interesse stößt. Welche Ursachen hat der auf vollkommenen Kapitalmärkten nicht zu...
Persistent link: https://www.econbiz.de/10013517355
Saved in:
8
The Cost of Capital
Porras, Eva R.
-
2011
investors and borrowers, the historical evidence, and theories of choice and behavior. The text spans financial
theory
, its … empirical tests and applications to real-
world
financial problems while keeping an entertaining easy-to-read style …
Persistent link: https://www.econbiz.de/10012053894
Saved in:
9
Regulatory Risk and the Cost of Capital : Determinants and Implications for Rate Regulation
Pedell, Burkhard
-
2006
Develops a comprehensive concept of regulatory risk integrating existing theoretical and empirical research. This book explains how the design of the regulatory system influences the risk of a rate-regulated firm, as well as elaborates appropriate methods for the determination of the regulatory...
Persistent link: https://www.econbiz.de/10013520524
Saved in:
10
Recovery Risk in Credit Default Swap Premia
Schläfer, Timo
-
2011
The finance literature looks at a number of factors to explain risk premia in corporate debt, such as liquidity effects, jump-to-default risk, and contagion risk. Stochastic recovery rates as a source of systematic risk have not received much attention so far, most likely due to the difficulties...
Persistent link: https://www.econbiz.de/10014015311
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