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Mit dem risikowirtschaftlichen Modell verfolgen die Autoren das Ziel, den gesamtwirtschaftlichen Zusammenhang zwischen Unternehmensfinanzierung, Kapitalstockbildung, Einkommensbildung und Beschäftigung herauszuarbeiten. Ausgehend von der Frage, unter welchen Bedingungen die Kapitalstruktur...
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With the financialization of the economy, increasing reliance has been put on statistical models for derivatives pricing and for risk assessment in the day-to-day business of financial operators as well as in financial regulation. This practice had already been criticized from many quarters and...
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-form GARCH-in-mean model assigned to six globally leading financial markets. The obtained results support Keynes's theory - the …
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This paper derives optimal employment contracts when workers are risk averse and there are employment and unemployment … risks. Without income insurance, consumption rises during employment and falls during unemployment. Optimal employment … during employment but dismissal delays insure partially against the unemployment risk because of moral hazard. During the …
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