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Titel -- Vorwort -- Inhaltsverzeichnis -- 1 Einleitung -- 2 Überblick zum Risk Management in Kreditinstituten -- 2 ….1 Zum Risikobegriff -- 2.2 Value-at-Risk-Konzepte -- 2.2.1 Analytisches Grundmodell -- 2.2.2 Simulationsmodelle -- 2 ….2.3 Zusammenfassende Bewertung -- 2.3 Risikoposition und Risikopolitik -- 2.4 Das Phasenschema des Risk Managements -- 2.5 Risiken in …
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We introduce a new class of momentum strategies, the risk-adjusted time series momentum (RAMOM) strategies, which are … how these volatility measures can be used for risk management. We find that momentum risk management significantly … increases Sharpe ratios, but at the same time may lead to more pronounced negative skewness and tail risk. Furthermore, momentum …
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