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language:"eng"
subject:"risk management"
~institution:"Gottfried Wilhelm Leibniz Universität Hannover"
~language:"ita"
~subject:"Finanzkrise"
~subject:"Kreditrisiko"
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risk management
Finanzkrise
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risk perception
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Gottfried Wilhelm Leibniz Universität Hannover
Institut für Schweizerisches Bankwesen <Zürich>
44
International Association for the Study of Insurance Economics
44
International Monetary Fund (IMF)
27
Sonderforschungsbereich Ökonomisches Risiko <Berlin>
21
Basel Committee on Banking Supervision
14
National Bureau of Economic Research
14
National Centre of Competence in Research North South <Bern>
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SUERF - The European Money and Finance Forum
10
Chartered Insurance Institute
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International Association of Insurance Supervisors
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University of Western Sydney
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College of Law and Business
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European Central Bank
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International Organization of Securities Commissions
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International Monetary Fund / Monetary and Capital Markets Department
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Internationaler Währungsfonds
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Universität <Münster, Westfalen> / Lehrstuhl für Betriebswirtschaftslehre, insbesondere Finanzierung
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Federal Reserve Bank <New York, NY>
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HAL
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Manchester Business School
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CESifo
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Center for Agricultural and Rural Development (CARD), Iowa State University
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Centre Interuniversitaire de Recherche en Analyse des Organisations (CIRANO)
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Centre Interuniversitaire sur le Risque, les Politiques Économiques et l'Emploi (CIRPÉE)
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DIW Berlin (Deutsches Institut für Wirtschaftsforschung)
3
Deutsche Bundesbank
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Federal Reserve Bank <New York, NY>
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Frankfurt School of Finance & Management
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Institut de Recherche Économique et Sociale (IRES), École des Sciences Économiques de Louvain
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Institut für Versicherungswirtschaft <Sankt Gallen>
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International Monetary Fund
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London School of Economics and Political Science
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Macquarie University
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National Centre of Competence in Research - Financial Valuation and Risk Management
3
National Centre of Competence in ResearchFinancial Valuation and Risk Management
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OECD
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School of Economics and Finance
3
Sonderforschungsbereich 649: Ökonomisches Risiko, Wirtschaftswissenschaftliche Fakultät
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1
Correlated default and parameter risk
Schmelzle, Martin
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2018
Persistent link: https://www.econbiz.de/10012167010
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2
Theoria cum praxi - essays in times of crisis on Solvency II, yield forecasts and alternatives for asset managers in the low interest environment
Rudschuck, Norman
-
2018
Persistent link: https://www.econbiz.de/10012169149
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3
Essays on model risk : the role of volatility for the accuracy of financial risk models
Rohde, Johannes
-
2015
Persistent link: https://www.econbiz.de/10011453199
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