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subject:"Anlageverhalten"
subject:"Portfolio-Management"
~institution:"Bonn Graduate School of Economics"
~institution:"Gottfried Wilhelm Leibniz Universität Hannover"
~subject:"Forecasting model"
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Anlageverhalten
Portfolio-Management
Forecasting model
Theorie
89
Theory
89
Agency theory
9
Prinzipal-Agent-Theorie
9
Experiment
8
Game theory
8
Nichtkooperatives Spiel
8
Noncooperative game
8
Spieltheorie
8
Deutschland
7
Germany
7
Time series analysis
7
Zeitreihenanalyse
7
Asymmetric information
6
Asymmetrische Information
6
Competition
6
Hedging
6
Wettbewerb
6
Estimation
5
Leistungsanreiz
5
Nash equilibrium
5
Nash-Gleichgewicht
5
Performance incentive
5
Portfolio selection
5
Schätzung
5
Allgemeines Gleichgewicht
4
Auction theory
4
Auktionstheorie
4
General equilibrium
4
Imitation strategy
4
Imitationsstrategie
4
Option pricing theory
4
Optionspreistheorie
4
Prognoseverfahren
4
Risikomanagement
4
Risk management
4
Cointegration
3
Duopol
3
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Free
6
Undetermined
1
Type of publication
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Book / Working Paper
9
Type of publication (narrower categories)
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Graue Literatur
8
Non-commercial literature
8
Hochschulschrift
5
Arbeitspapier
4
Working Paper
4
Thesis
2
Aufsatzsammlung
1
Collection of articles of several authors
1
Collection of articles written by one author
1
Sammelwerk
1
Sammlung
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English
9
Author
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Sibbertsen, Philipp
2
Becker, Janis
1
Beckmann, Daniela
1
Dierkes, Maik
1
Evstigneev, Igor V.
1
Hassler, Uwe
1
Lazarov, Zdravetz
1
Leschinski, Christian Hendrik
1
Mahayni, Antje
1
Menkhoff, Lukas
1
Prokopczuk, Marcel
1
Rodríguez González, Miguel Ángel
1
Rösch, Daniel
1
Schlögel, Erik
1
Schmelzle, Martin
1
Schulenburg, Johann-Matthias von der
1
Schöndube, Jens Robert
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
Gottfried Wilhelm Leibniz Universität Hannover
National Bureau of Economic Research
400
Institute of Finance and Accounting <London>
17
Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse
17
Springer Fachmedien Wiesbaden
15
European University Institute / Department of Law
13
Center for Economic Research <Tilburg>
12
Frank J. Fabozzi Associates <New Hope, Pa.>
12
Rodney L. White Center for Financial Research
10
Université catholique de Louvain / Institut de recherches économiques et sociales <1941-1960>
10
Ekonomiska forskningsinstitutet <Stockholm>
9
Charles A. Dice Center for Research in Financial Economics <Columbus, Ohio>
8
Erasmus Research Institute of Management
8
Birkbeck College / Department of Economics
7
Christian-Albrechts-Universität zu Kiel
7
Federal Reserve System / Division of Research and Statistics
7
International Center for Financial Asset Management and Engineering
7
Universität Zürich / Institut für Schweizerisches Bankwesen
7
Verlag Dr. Kovač
7
European University Institute / Department of Economics
6
Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart>
6
Technische Universität Dresden / Fakultät Wirtschaftswissenschaften
6
The Wharton Financial Institutions Center
6
Universität Mannheim
6
Zakład Teorii Prognoz <Krakau>
6
Association of European Operational Research Societies / Working Group on Financial Modelling
5
Federal Reserve Bank of San Francisco
5
Federal Reserve Bank of St. Louis
5
Federal Reserve System / Board of Governors
5
University of Strathclyde / Department of Economics
5
Centre for International Research on Economic Tendency Surveys
4
Centre for Quantitative Economics & Computing
4
Christian-Albrechts-Universität zu Kiel / Institut für Volkswirtschaftslehre
4
Econometrisch Instituut <Rotterdam>
4
Friedrich-Schiller-Universität Jena
4
Goethe-Universität Frankfurt am Main
4
IGI Global
4
Judge Institute of Management Studies
4
Nationalekonomiska Institutionen <Lund>
4
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Published in...
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Bonn Econ Discussion Papers / BGSE
4
Studien zu internationalen Wirtschaftsbeziehungen
1
Source
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ECONIS (ZBW)
9
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1
Essays on risk management in times of deepening economic inequality
Rodríguez González, Miguel Ángel
-
2021
Persistent link: https://www.econbiz.de/10013285482
Saved in:
2
Correlated default and parameter risk
Schmelzle, Martin
-
2018
Persistent link: https://www.econbiz.de/10012167010
Saved in:
3
Essays on financial time series with a focus on high-frequency data
Becker, Janis
-
2020
Persistent link: https://www.econbiz.de/10012225306
Saved in:
4
Essays on long memory time series
Leschinski, Christian Hendrik
-
2016
Persistent link: https://www.econbiz.de/10011559565
Saved in:
5
Modeling and forecasting DAX index volatility
Lazarov, Zdravetz
(
contributor
)
-
2004
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10002040246
Saved in:
6
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:
7
Mean-variance hedging under additional market information
Thierbach, Frank
(
contributor
)
-
2002
-
[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001825437
Saved in:
8
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:
9
From early warning systems to asset managers' behavior : evidence for mature and emerging markets
Beckmann, Daniela
-
2008
Persistent link: https://www.econbiz.de/10012874866
Saved in:
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