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type_genre:"Graue Literatur"
type_genre:"Kongress"
~isPartOf:"CFS working paper series"
~isPartOf:"Schriftenreihe Finanzmanagement"
~type_genre:"Hochschulschrift"
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Search: subject_exact:"Risk management"
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Risikomanagement
41
Risk management
35
Theorie
26
Theory
26
Kreditrisiko
14
Credit risk
12
Portfolio selection
12
Portfolio-Management
12
Deutschland
11
Germany
11
Risikomaß
10
Risk measure
10
Value at Risk
8
Credit rating
7
Kreditwürdigkeit
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Schätzung
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Derivat
5
Derivative
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Kreditgeschäft
5
Bank
4
Bank lending
4
Unternehmen
4
Derivat <Wertpapier>
3
Forecasting model
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Kreditderivat
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Portfolio Selection
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Prognoseverfahren
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Risiko
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Risikokapital
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Risk
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USA
3
United States
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Welt
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World
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credit risk management
3
ARCH model
2
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2
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Non-commercial literature
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12
Working Paper
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German
23
English
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Krahnen, Jan Pieter
2
Krueger, Dirk
2
Rudolph, Bernd
2
Andersen, Torben
1
Barth, Jörn
1
Bollerslev, Tim
1
Bonn, Rainer
1
Burghof, Hans-Peter
1
Bär, Tobias
1
Christoffersen, Peter F.
1
Cole, Harold L.
1
Dangl, Thomas
1
Diebold, Francis X.
1
Drebes, Jürgen
1
Dresenkamp, Robin
1
Finter, Philipp
1
Firnkorn, Lutz
1
Franke, Günter
1
Gehrmann, Volker
1
Geidt-Karrenbauer, Ulrike
1
Gronwald, Peter
1
Hanisch, Jendrik
1
Henke, Sabine
1
Heyer, Tim
1
Hornbach, Christian
1
Hubar, Sylwia
1
Igl, Andreas
1
Kern, Markus
1
Koeppl, Thorsten V.
1
Koulovatianos, Christos
1
Kremers, Markus
1
Kräussl, Roman
1
Kus, Christian
1
Laux, Christian
1
Li, Jian
1
Mailath, George J.
1
Meier, Elke
1
Mitchell, Olivia S.
1
Mittnik, Stefan
1
Mokwa, Christopher F.
1
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Verlag Dr. Kovač
2
Westfälische Wilhelms-Universität Münster
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CFS working paper series
Schriftenreihe Finanzmanagement
Working paper / National Bureau of Economic Research, Inc.
78
Europäische Hochschulschriften / 5
62
Gabler Edition Wissenschaft
53
IMF working papers
44
Discussion paper / Centre for Economic Policy Research
43
Policy research working paper : WPS
42
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41
IMF country report
40
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27
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25
Études et dossiers / Association Internationale pour l'Étude de l'Économie de l'Assurance
23
Staff reports / Federal Reserve Bank of New York
21
Working paper / Risk Management and Decision Processes Center, Wharton School, University of Pennsylvania
20
Swiss Finance Institute Research Paper
19
NBER working paper series
18
Berichte aus der Betriebswirtschaft
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Discussion paper series / IZA
16
Finance and economics discussion series
15
Working papers / Bank for International Settlements
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Working papers / Harvard Business School, Division of Research
15
Fisher College of Business working paper series
14
SFB 649 discussion paper
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13
Springer eBook Collection
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Staff working papers / Bank of England
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Beiträge zu wirtschaftswissenschaftlichen Problemen der Versicherung
12
Econometric Institute research papers
12
Reihe: Finanzierung, Kapitalmarkt und Banken
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ECONIS (ZBW)
41
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21
Default risk sharing between banks and markets : the contribution of collateralized debt obligations
Franke, Günter
(
contributor
); …
-
2005
Persistent link: https://www.econbiz.de/10003025650
Saved in:
22
Rentabilitäts- und Risikosteuerung in Pkw-Leasinggesellschaften
Rieß, Marc Sven
-
2005
Persistent link: https://www.econbiz.de/10002850955
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23
Währungsexposure und Bankkredit : eine modelltheoretische Interpretation des Paradigmenwechsels im Bonitätsrisikopotenzial der Wechselkurse
Nikolov, Svetlozar R.
-
2005
Persistent link: https://www.econbiz.de/10013432892
Saved in:
24
Risikobewertung von strukturierten Kreditprodukten
Igl, Andreas
-
2012
Persistent link: https://www.econbiz.de/10009491908
Saved in:
25
Influence of industry environment on firms' characteristics : an empirical review of the determinants of cash holding, leverage, investment, and return
Firnkorn, Lutz
-
2011
Persistent link: https://www.econbiz.de/10009269603
Saved in:
26
Bewertungsrelevante Faktoren am deutschen Aktienmarkt : eine empirische Untersuchung der Bedeutung mikroökonomischer Einflussgrößen
Finter, Philipp
-
2011
Persistent link: https://www.econbiz.de/10013432860
Saved in:
27
Optimization and diversification of risky portfolios under uncertainty
Wiechers, Christof
-
2011
-
1. Aufl.
Persistent link: https://www.econbiz.de/10013432861
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28
Risikomanagement bei Banken : interne Modelle, Bankenaufsicht und Auswirkungen neuer Eigenkapitalanforderungen
Peterl, Florian
-
2003
Persistent link: https://www.econbiz.de/10013432829
Saved in:
29
Erkennung von Adressenausfallrisiken : Kontodatenanalyse unter Einsatz binärer logistischer Regressionsmodelle
Kus, Christian
-
2010
Persistent link: https://www.econbiz.de/10003955297
Saved in:
30
Die Optimierung des Kreditportfolios : ein Modell zur optimalen Gestaltung des Kreditportfolios mithilfe aktiver Steuerungsinstrumente
Geidt-Karrenbauer, Ulrike
-
2010
Persistent link: https://www.econbiz.de/10003929052
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