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subject:"Anlageverhalten"
subject:"Portfolio-Management"
~institution:"Albert-Ludwigs-Universität Freiburg / Betriebswirtschaftliches Seminar"
~institution:"Unité Mixte de Recherche Théorie Economique, Modélisation et Applications"
~type_genre:"Arbeitspapier"
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Anlageverhalten
Portfolio-Management
Theorie
63
Theory
63
Asymmetric information
8
Asymmetrische Information
8
France
7
Frankreich
7
Monte Carlo simulation
4
Monte-Carlo-Simulation
4
Portfolio selection
4
Risikomodell
4
Risk model
4
Adverse Selektion
3
Adverse selection
3
Automobile insurance
3
Capital income
3
Disaster
3
Estimation theory
3
Incomplete information
3
Insurance market
3
Insurance premium
3
Kapitaleinkommen
3
Katastrophe
3
Kfz-Versicherung
3
Moral Hazard
3
Moral hazard
3
Nutzentheorie
3
Resource economics
3
Ressourcenökonomik
3
Schätztheorie
3
Traffic accident
3
Unvollkommene Information
3
Utility theory
3
Verkehrsunfall
3
Versicherungsbeitrag
3
Versicherungsmarkt
3
ARMA model
2
ARMA-Modell
2
Agriculture
2
Bewertung
2
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Type of publication
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Book / Working Paper
4
Type of publication (narrower categories)
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Arbeitspapier
Working Paper
4
Graue Literatur
3
Non-commercial literature
3
Language
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English
2
German
1
French
1
Author
All
Andersen, J. V.
1
Battocchio, Paolo
1
Dachraoui, Kaïs
1
Dionne, Georges
1
Malevergne, Y.
1
Menoncin, Francesco
1
Rehkugler, Heinz
1
Roth, Hanno
1
Scaillet, Olivier
1
Schmidt- von Rhein, Andreas
1
Sornette, D.
1
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Institution
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Albert-Ludwigs-Universität Freiburg / Betriebswirtschaftliches Seminar
Unité Mixte de Recherche Théorie Economique, Modélisation et Applications
Institute of Finance and Accounting <London>
16
Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse
12
Center for Economic Research <Tilburg>
11
National Bureau of Economic Research
10
Rodney L. White Center for Financial Research
8
Université catholique de Louvain / Institut de recherches économiques et sociales <1941-1960>
8
Charles A. Dice Center for Research in Financial Economics <Columbus, Ohio>
7
European University Institute / Department of Law
6
Erasmus Research Institute of Management
5
Judge Institute of Management Studies
4
Nationalekonomiska Institutionen <Lund>
4
Pensions Institute
4
Technische Universität Dresden / Fakultät Wirtschaftswissenschaften
4
Bonn Graduate School of Economics
3
Ekonomiska forskningsinstitutet <Stockholm>
3
Federal Reserve Bank of St. Louis
3
Federal Reserve System / Board of Governors
3
Institut für Statistik und Mathematische Wirtschaftstheorie <Augsburg>
3
International Center for Financial Asset Management and Engineering
3
Københavns Universitet / Økonomisk Institut
3
Martin-Luther-Universität Halle-Wittenberg / Wirtschaftswissenschaftliche Fakultät
3
The Wharton Financial Institutions Center
3
Universität Hannover / Wirtschaftswissenschaftliche Fakultät
3
Banco Central do Brasil
2
Chambre de commerce et d'industrie de Paris
2
Federal Reserve System / Division of Research and Statistics
2
Harvard Institute of Economic Research
2
Innocenzo Gasparini Institute for Economic Research <Mailand>
2
Institut für Weltwirtschaft
2
Johns Hopkins University / Department of Economics
2
Keizai-Shakai-Kenkyūsho <Tokio>
2
Technische Universität Bergakademie Freiberg / Fakultät für Wirtschaftswissenschaften
2
Universitat Pompeu Fabra / Departament d'Economia i Empresa
2
University of Canterbury / Dept. of Economics and Finance
2
University of Chicago / Center for Research in Security Prices
2
Victoria University of Wellington / School of Economics and Finance
2
Australian National University / Faculty of Economics and Commerce
1
Banque de France / Direction Générale des Etudes / Centre de Recherche
1
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Documents de travail / THEMA
3
Freiburger betriebswirtschaftliche Diskussionsbeiträge
1
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ECONIS (ZBW)
4
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Optimal asset allocation for pension funds under mortality risk during the accumulation and decumulation phases /Paolo Battocchio, Francesco Menoncin, Olivier Scaillet
Battocchio, Paolo
(
contributor
); …
-
2003
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001906837
Saved in:
2
Comprendre et gérer les risques grands et extrêmes
Andersen, J. V.
(
contributor
);
Malevergne, Y.
(
contributor
); …
-
2003
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001906912
Saved in:
3
Stochastic dominance and optimal portfolio
Dachraoui, Kaïs
(
contributor
);
Dionne, Georges
(
contributor
)
-
2001
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001661207
Saved in:
4
Zweistufige Performancemessung im Portfolio Management : ein Konzept zur Messung und Attribution von Anleger- und Managementeinflüssen
Rehkugler, Heinz
;
Schmidt- von Rhein, Andreas
;
Roth, Hanno
-
1997
-
2., durchges. und korrigierte Aufl
Persistent link: https://www.econbiz.de/10000954218
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