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Hedging 2 Portfolio selection 2 Portfolio-Management 2 Risiko 2 Risikomanagement 2 Risk 2 Risk management 2 risk management 2 Agrarmarkt 1 Agrarpreis 1 Agricultural market 1 Agricultural price 1 Asset-liability management 1 Bank 1 Bank risk 1 Bankrisiko 1 Bilanzstrukturmanagement 1 CAPM 1 Commodity derivative 1 Commodity exchange 1 Consumption theory 1 Diversification 1 Diversifikation 1 Dynamic hedging 1 Eigenkapital 1 Equity capital 1 Financial market 1 Finanzmarkt 1 Inflation 1 Konsumtheorie 1 Private consumption 1 Privater Konsum 1 Risikomaß 1 Risk measure 1 Rohstoffderivat 1 Theorie 1 Theory 1 Vermögen 1 Warenbörse 1 Wealth 1
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Article 3
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Article in journal 3 Aufsatz in Zeitschrift 3
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English 3
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Broll, Udo Štreimikienė, Dalia 11 Estrada, Mario Arturo Ruiz 10 Czapiński, Janusz 8 Mielcarz, Paweł 5 Abdul Razak Abdul Hadi 4 Abotsi, Anselm Komla 4 Abu, Nurudeen 4 Dębski, Wiesław 4 Gavrila Gavrila, Sorin 4 González-Tejero, Cristina Blanco 4 Grigorescu, Adriana 4 Konopczyński, Michał 4 Mardani, Abbas 4 Nowacki, Robert 4 Odhiambo, Nicholas M. 4 Sierpińska-Sawicz, Agata 4 Škare, Marinko 4 Gajewski, Dominik 3 Kowalewski, Oskar 3 Panek, Tomasz 3 Szopiński, Tomasz 3 Szumlicz, Tadeusz 3 Wilczyński, Ryszard 3 Ahmad, Muhammad Shakil 2 Aliyev, Khatai 2 Awadh Ahmed Mohammed Gamal 2 Bajrami, Etleva 2 Banelienė, Rūta 2 Białowolski, Piotr 2 Bin Jusoh, Ahmad 2 Bob, Constantin 2 Botek, Marek 2 Brzeziński, Stanisław 2 Calderon-Monge, Esther 2 Cheryomushkina, Irina V. 2 Christa, Usup Riassy 2 Climent-Serrano, Salvador 2 Czarniawska, Barbara 2 Ellis, Colin 2
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Contemporary economics 3
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ECONIS (ZBW) 3
Showing 1 - 3 of 3
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Consumption, inflation risk and dynamic hedging
Schubert, Stefan Franz; Broll, Udo - In: Contemporary economics 9 (2015) 2, pp. 171-179
Our study examines the behavior of a risk-averse investor who faces two sources of uncertainty: a random asset price and inflation risk. Both sources of uncertainty make it difficult to stabilize consumption over time. However, investors can enter risk-sharing markets, such as futures markets,...
Persistent link: https://www.econbiz.de/10011306018
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Price risk and risk management in agriculture
Broll, Udo; Welzel, Peter; Kit, Pong Wong - In: Contemporary economics 7 (2013) 2, pp. 17-20
This note studies the risk-management decisions of a risk-averse farmer. The farmer faces multiple sources of price uncertainty. He sells commodities to two markets at two prices, but only one of these markets has a futures market. We show that the farmer’s optimal commodity futures market...
Persistent link: https://www.econbiz.de/10009770293
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Banking firm, equity and value at risk
Broll, Udo; Sobiech, Anna; Wahl, Jack E. - In: Contemporary economics 6 (2012) 4, pp. 50-53
The paper focuses on the interaction between the solvency probability of a banking firm and the diversification potential of its asset portfolio when determining optimal equity capital. The purpose of this paper is to incorporate value at risk (VaR) into the firm-theoretical model of a banking...
Persistent link: https://www.econbiz.de/10009768157
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