Items where Subject is "finance"

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Number of items: 20.

B

Item Badescu, Alexandru; Elliott, Robert J. & Ortega, Juan-Pablo (2014) Quadratic hedging schemes for non-Gaussian GARCH models. Journal of Economic Dynamics and Control, 42 13-32. ISSN 0165-1889 [img]

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Item Braun, Alexander; Schmeiser, Hato & Siegel, Caroline (2014) The Impact of Private Equity on a Life Insurer's Capital Charges Under Solvency II and the Swiss Solvency Test. Journal of Risk and Insurance, 81 (1). 113-158. ISSN 0022-4367

D

Item Dorfleitner, Gregor & Utz, Sebastian (2014) Profiling German-speaking socially responsible investors. Qualitative Research in Financial Markets, 6 (2). 118-156. ISSN 1755-4179

Item Düsterhoff, Henning: 2013: Das Jahr des Wendepunktes? – Jahresrückblick auf das deutsche M&A-Geschehen. In: M & A Review 25 (2014), S. 46-54.

Item Düsterhoff, Henning: Erste Ausläufer einer neuen M&A-Welle oder nur ein Sturm im Wasserglas? Rückblick auf das deutsche M&A-Geschehen im 1. Halbjahr 2014. In: M & A Review 25 (2014), 9, S. 324--332.

Item Düsterhoff, Henning & Müller-Stewens, Günter: M&A in Deutschland: Belebung zumindest bei den grossen Transaktionen. In: Corporate Finance & Private Equity Guide 2014 (GoingPublic Magazin) 18 (2014), 4, S. 40--42.

G

Item Getzmann, André; Lang, Sebastian & Spremann, Klaus (2014) Target Capital Structure and Adjustment Speed in Asia. Asia-Pacific Journal of Financial Studies, 43 (1). 1-30. ISSN 2041-9945 [img]

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K

Item Kartasheva, Anastasia: Insurance in the Financial System. , 2014,

L

Item Laas, Daniela & Siegel, Caroline: Basel Accords versus Solvency II: Regulatory Adequacy and Consistency under the Postcrisis Capital Standards, Presentation at the 2014 Annual Meeting of the American Risk and Insurance Association (ARIA) (Seattle, USA). [Conference or Workshop Item]

Item Locarek-Junge, Hermann; Klein, Tony & Walther, Thomas (2014) GARCH-Modelle. WISU - Das Wirtschaftsstudium, 43 (11). 1348-1354. ISSN 0340-3084

Item Locarek-Junge, Hermann & Walther, Thomas: Risiken auf dem langen Weg nach Basel III: Regulierung und Aufsicht im Finanzsystem. In: AKADEMIE 59 (2014), 1, S. 3-8.

S

Item Saunders, Anthony; Schmid, Markus & Walter, Ingo: Non-Core Banking, Performance, and Risk. School of Finance Working Paper Sieres, 2014, 2014/17. [img]

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Item Senn, Myriam: Challenges of developing an approach to ESG-RI-issues. Conference of the International Law Association and American Association of International Law, ILA-ASIL, Washington, 9 April 2014. Conference of the International Law Association and American Association of International Law - ILA-ASIL Conference. Washington D.C., 9 April 2014.

Item Senn, Myriam: Challenges of developing an approach to ESG-SRI-issues. In Report of the Seventy-Sixth Conference of the ILA and ASIL. London : International Law Association, 2014, S. 928-929.

Item Stocker, Raoul: Steuerplanung mit Beteiligungsertragen. [Conference or Workshop Item]

T

Item Tatu, Andrada; Schreyer, Marco; Hagelauer, Jan & Wang, Jixuan: Visual Exploration of Journal Entries to Detect Accounting Irregularities and Fraud. 2014. - IEEE VIS 2014 Workshop "business | vis | 2014". - Paris, France. [img]

Item Tykvova, Tereza & Schertler, A. (2014) Does Syndication with Local Venture Capitalists Moderate the Effects of Geographical and Institutional Distance? Journal of International Management, 20 406-420.

U

Item Utz, Sebastian & Wimmer, Maximilian (2014) Are they any good at all? A financial and ethical analysis of socially responsible mutual funds. Journal of Asset Management, 15 72-82. ISSN 1470-8272

Item Utz, Sebastian; Wimmer, Maximilian; Hirschberger, Markus & Steuer, Ralph (2014) Tri-criterion inverse portfolio optimization with application to socially responsible mutual funds. European Journal of Operational Research, 234 491-498. ISSN 0377-2217

V

Item von Kimakowitz, Ernst: Julius Baer Wealth Report Europe Tips and Tricks for Impact Investors. (2014),

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