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Finanzintermediäre können eine portfoliotheoretisch motivierte Optimierung ihres Buchkreditportefeuilles nur unter der Bedingung realisieren, dass die Kreditrisiken am Sekundärmarkt handelbar sind. Mit Kreditverkäufen, Kreditverbriefungen und Kreditderivaten haben sich die Möglichkeiten...
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We study how risk management through hedging impacts firms and competition among firms in the life insurance industry - an industry with over 7 Trillion in assets and over 1,000 private and public firms. We show that firms that are likely to face costly external finance increase hedging after...
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Risk and reinsurance / Niels Viggo Haueter and Geoffrey Jones -- The cultural context of insurance in the West / Geoffrey Clark -- The evolution of the industry structure / Robin Pearson -- The monetary and financial environment, 1860-2013 / Forrest Capie -- Calculating the unpredictable :...
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Establishment of AFIRC, AFIRC Strategy, Initiative on Corporate Governance, Concluding Remarks...
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