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subject:"Anlageverhalten"
subject:"Portfolio-Management"
~institution:"Bonn Graduate School of Economics"
~institution:"Frank J. Fabozzi Associates <New Hope, Pa.>"
~institution:"Technische Universität Dresden / Fakultät Wirtschaftswissenschaften"
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Anlageverhalten
Portfolio-Management
Theorie
154
Theory
154
Portfolio selection
19
Deutschland
14
Germany
14
Estimation theory
12
Schätztheorie
12
USA
11
United States
11
Agency theory
10
Anleihe
10
Bond
10
Prinzipal-Agent-Theorie
10
Risiko
10
Game theory
9
Risk
9
Spieltheorie
9
Bank risk
8
Bankrisiko
8
Competition
8
Experiment
8
Financial analysis
8
Finanzanalyse
8
Nichtkooperatives Spiel
8
Noncooperative game
8
Wettbewerb
8
Estimation
7
Option pricing theory
7
Optionspreistheorie
7
Schätzung
7
Asymmetric information
6
Asymmetrische Information
6
Hedging
6
Leistungsanreiz
6
Oligopol
6
Oligopoly
6
Performance incentive
6
Welt
6
World
6
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Online availability
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Free
3
Type of publication
All
Book / Working Paper
19
Type of publication (narrower categories)
All
Arbeitspapier
7
Graue Literatur
7
Non-commercial literature
7
Working Paper
7
Lehrbuch
6
Textbook
6
Collection of articles of several authors
4
Sammelwerk
4
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Language
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English
16
German
3
Author
All
Fabozzi, Frank J.
11
Huschens, Stefan
2
Locarek-Junge, Hermann
2
Evstigneev, Igor V.
1
Mahayni, Antje
1
Mann, Steven V.
1
Markowitz, Harry
1
Prinzler, Ralf
1
Schlögel, Erik
1
Schürger, Klaus
1
Taksar, Michael I.
1
Thierbach, Frank
1
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Institution
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Bonn Graduate School of Economics
Frank J. Fabozzi Associates <New Hope, Pa.>
Technische Universität Dresden / Fakultät Wirtschaftswissenschaften
National Bureau of Economic Research
304
Institute of Finance and Accounting <London>
16
Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse
12
Center for Economic Research <Tilburg>
11
Springer Fachmedien Wiesbaden
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
Universität Zürich / Institut für Schweizerisches Bankwesen
7
European University Institute / Department of Law
6
Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart>
6
International Center for Financial Asset Management and Engineering
6
Universität Mannheim
6
Association of European Operational Research Societies / Working Group on Financial Modelling
5
Erasmus Research Institute of Management
5
Friedrich-Schiller-Universität Jena
4
Goethe-Universität Frankfurt am Main
4
Judge Institute of Management Studies
4
Nationalekonomiska Institutionen <Lund>
4
Pensions Institute
4
Springer-Verlag GmbH
4
Verlag Dr. Kovač
4
World Bank
4
Association for Investment Management and Research
3
Christian-Albrechts-Universität zu Kiel
3
Ekonomiska forskningsinstitutet <Stockholm>
3
Federal Reserve Bank of St. Louis
3
Federal Reserve System / Board of Governors
3
Gottfried Wilhelm Leibniz Universität Hannover
3
Institut für Statistik und Mathematische Wirtschaftstheorie <Augsburg>
3
International Association for the Study of Insurance Economics
3
Johannes Gutenberg-Universität Mainz
3
Københavns Universitet / Økonomisk Institut
3
Martin-Luther-Universität Halle-Wittenberg / Wirtschaftswissenschaftliche Fakultät
3
The Wharton Financial Institutions Center
3
UVK Verlagsgesellschaft mbH
3
Unité Mixte de Recherche Théorie Economique, Modélisation et Applications
3
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Published in...
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Bonn Econ Discussion Papers / BGSE
3
Dresdner Beiträge zu quantitativen Verfahren
2
Dresdner Beiträge zur Betriebswirtschaftslehre
2
Source
All
ECONIS (ZBW)
19
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1
The risk management of minimum return guarantees
Mahayni, Antje
(
contributor
);
Schlögel, Erik
(
contributor
)
-
2003
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001970344
Saved in:
2
Mean-variance hedging under additional market information
Thierbach, Frank
(
contributor
)
-
2002
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001825437
Saved in:
3
On the fundamental theorem of asset pricing: random constraints and bang-bang no-arbitrage criteria
Evstigneev, Igor V.
(
contributor
); …
-
2002
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001825768
Saved in:
4
Fixed income analysis for the Chartered Financial Analyst Program
Fabozzi, Frank J.
-
2004
-
2. ed.
Persistent link: https://www.econbiz.de/10002840975
Saved in:
5
Professional perspectives on fixed income portfolio management ; 3
Fabozzi, Frank J.
(
contributor
)
-
2002
Persistent link: https://www.econbiz.de/10001692197
Saved in:
6
Professional perspectives on fixed income portfolio management ; 2
Fabozzi, Frank J.
(
contributor
)
-
2001
Persistent link: https://www.econbiz.de/10001733408
Saved in:
7
Bond portfolio management
Fabozzi, Frank J.
-
2001
-
2. ed.
Persistent link: https://www.econbiz.de/10001552680
Saved in:
8
Professional perspectives on fixed income portfolio management ; 1
Fabozzi, Frank J.
(
contributor
)
-
2000
Persistent link: https://www.econbiz.de/10001549329
Saved in:
9
Professional perspectives on fixed income portfolio management
Fabozzi, Frank J.
-
2000
Persistent link: https://www.econbiz.de/10001523736
Saved in:
10
Floating rate securities
Fabozzi, Frank J.
;
Mann, Steven V.
-
2000
Persistent link: https://www.econbiz.de/10001523746
Saved in:
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