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Exploiting a granular dataset of banks' security holdings I assess the impact of unconventional monetary policy on bank lending and security holdings. Using a difference-in-differences regression setup and holding the security composition of each bank constant at its level in January 2014, well...
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Optimization methods play a central role in financial modeling. This textbook is devoted to explaining how state-of-the-art optimization theory, algorithms, and software can be used to efficiently solve problems in computational finance. It discusses some classical mean-variance portfolio...
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"Today there is a gap between organizational strategy and day-to-day management activities. To capitalize on new opportunities, or "getting ahead" rather than just "staying in business," most workplaces need a radical transformation. This transformation can begin with how organizations devise...
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Auf Grundlage des Corporate-Management-Modells identifizieren die Autoren zehn Wertsteigerungshebel, die zusammen den normativen Rahmen, die Corporate Strategy und die internen Corporate-Governance-Mechanismen bilden. Mit zahlreichen Fallbeispielen.
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