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~subject:"Risiko"
~type_genre:"Aufsatz im Buch"
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Risiko
Option trading
144
Optionsgeschäft
144
Option pricing theory
78
Optionspreistheorie
78
Theorie
41
Theory
41
Derivat
25
Derivative
25
Hedging
20
USA
20
United States
20
Volatility
17
Volatilität
17
Black-Scholes model
12
Black-Scholes-Modell
12
Stochastic process
11
Stochastischer Prozess
11
Portfolio selection
9
Portfolio-Management
9
Risikomanagement
9
Risk management
9
Deutschland
6
Forecasting model
6
Germany
6
Prognoseverfahren
6
Risk
6
Commodity derivative
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Index futures
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Index-Futures
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Rohstoffderivat
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Börsenkurs
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Estimation
4
Führungskräfte
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Großbritannien
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Interest rate derivative
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Leistungsentgelt
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Managers
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Avellaneda, Marco
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Caillet, Bruno
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Del Chicca, Luca
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Dobi, Doris
1
Gallais-Hamonno, Georges
1
Johanning, Lutz
1
Larcher, Gerhard
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Maurer, Raimond
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Der Preis des Risikos
1
Geld, Finanzwirtschaft, Banken und Versicherungen : 1996 ; Beiträge zum 7. Symposium Geld, Finanzwirtschaft, Banken und Versicherungen an der Universität Karlsruhe vom 11.- 13. Dezember 1996
1
Market risk and financial markets modeling
1
Options - 45 years since the publication of the Black-Scholes-Merton model : the Gershon Fintech Center Conference
1
Risikomanagement an internationalen Finanzmärkten : Systemrisiken, Crashpotential, Anlagemanagement, Risikosteuerung
1
Risk management in volatile financial markets
1
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ECONIS (ZBW)
6
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1
Modeling volatility risk in equity options market : a statistical approach
Dobi, Doris
;
Avellaneda, Marco
- In:
Options - 45 years since the publication of the …
,
(pp. 257-292)
.
2023
Persistent link: https://www.econbiz.de/10014366655
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2
Options: risk reducing or creating?
Morozova, Marianna
- In:
Market risk and financial markets modeling
,
(pp. 171-189)
.
2012
Persistent link: https://www.econbiz.de/10009514439
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3
Der Preis des Risikos : Optionen und Erwartungen
Del Chicca, Luca
;
Larcher, Gerhard
- In:
Der Preis des Risikos
,
(pp. 50-72)
.
2008
Persistent link: https://www.econbiz.de/10003736460
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4
Gefahren einer VaR-basierten Eigenkapitalregulierung bei Optionen
Johanning, Lutz
- In:
Risikomanagement an internationalen Finanzmärkten : …
,
(pp. 257-267)
.
2000
Persistent link: https://www.econbiz.de/10001461059
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5
Ertrag und Shortfall-Risiko von Wertsicherungsstrategien mit Optionen unter alternativen Zielrenditen : empirische Evidenzen für den deutschen Aktienmarkt
Maurer, Raimond
- In:
Geld, Finanzwirtschaft, Banken und Versicherungen : …
,
(pp. 757-794)
.
1997
Persistent link: https://www.econbiz.de/10001298978
Saved in:
6
Does the Paris warrants market present a systemic risk?
Caillet, Bruno
- In:
Risk management in volatile financial markets
,
(pp. 208-222)
.
1996
Persistent link: https://www.econbiz.de/10001319224
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