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  • Search: isPartOf:"Universität Frankfurt am Main - Working Paper Series Finance & Accounting"
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Year of publication
Subject
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Corporate Governance 4 Finanzwirtschaft 4 corporate finance 4 Portfolio Selection 3 Regulierung 3 Bank 2 Empirische Forschung 2 Securitization 2 empirical research 2 Akündigung 1 Anreiz 1 Ausfallrisiko 1 Bayes-Verfahren 1 Branchenstruktur 1 Entwicklungsfinanzierung 1 Europäische Union Wirtschafts- und Währungsunion 1 Fallstudie 1 Finanzierung 1 Fremdwährung 1 GARCH-Prozess 1 Gewinnanteil 1 Immobilienweltmarkt 1 Investitionsneigung 1 Kapitalbildung 1 Kosten 1 Kreditrestriktion 1 Kreditrisiko 1 Leistungsmessung 1 Liquidität 1 Markt 1 Marktwirtschaft 1 Mikrostrukturtheorie <Kapitalmarkttheorie> 1 Modell 1 Netzwerk 1 Neuer Markt <Börse> 1 Pensionsrückstellung 1 Pfandbrief 1 Rating 1 Rentenberechnung 1 Risikomanagement 1
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Type of publication
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Book / Working Paper 16 Article 1
Language
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English 15 German 2
Author
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Maurer, Raimond 4 Gebhardt, Günther 3 Daske, Holger 2 Hackethal, Andreas 2 Jobst, Andreas 2 Reiner, Frank 2 Schmidt, Reinhard H. 2 Frerichs, Hergen 1 Gaber, Christian 1 Heiden, Stefan 1 Herold, Ulf 1 Klein, Stefan 1 McCarthy, David 1 Mitchell, Olivia S. 1 Reichardt, Rolf 1 Sebastian, Steffen 1 Serifsoy, Sarif 1 Theissen, Erik 1 Valiani, Shohreh 1 Von Pischke, John D. 1 Wahrenburg, Mark 1 Weiss, Marco 1 Wittenbrink, Carsten 1
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Published in...
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Universität Frankfurt am Main - Working Paper Series Finance & Accounting 16 Universität Frankfurt- Abteilung Finanzen - Working Paper Series 3 Working Paper Series Finance & Accounting 3 Universität Frankfurt am Main - Abteilung Finanzen 2 Universität Frankfurt am Main- Abteilung Finanzen - Working Paper Series 2 Universität Frankfurt am Main- Fachbereich Wirtschaftswissenschaften- Abteilung Finanzen - Working Paper Series 2 Journal of Real Estate Portfolio Management (2002) 8 1 Journal of Real Estate Portfolio Management ; 10 (2004), S. 59-76 1 UNiversität Frankfurt am Main- Fachbereich Wirtschaftswissenschaften - Abteilung Finanzen - Working Paper Series 1 Universität Frankfurt am Main - Abteilung Finanzen - Working Paper Series 1 Universität Frankfurt am Main - Working Paper Series Finance & Accounting ; 108 1 Universität Frankfurt am Main- Abteilung Wirtschaftswissenschaften- Abteilung Finanzen - Working Paper Series 1 Universität Frankfurt am Main- Fachbereich Wirtschaftswissenschaften 1
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Source
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USB Cologne (business full texts) 17
Showing 1 - 10 of 17
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Characteristics of German Real Estate Return Distributions: Empirical Evidence from Germany and Comparison to the U.S. and U.K.
Maurer, Raimond; Reiner, Frank; Sebastian, Steffen - 2004
In contrast to the United States and the United Kingdom, little empirical work exists about the distributional characteristics of appraisalbased real estate returns outside these countries. The purpose of this study is to fill this gap by focusing on Germany. In line with other studies, this...
Persistent link: https://www.econbiz.de/10005844543
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Financing Patterns: Measurement Concepts and Empirical Results
Hackethal, Andreas; Schmidt, Reinhard H. - 2004
A widely recognized paper by Colin Mayer (1988) has led to a profound revision of academicthinking about financing patterns of corporations in different countries. Using flow-of-funds datainstead of balance sheet data, Mayer and others who followed his lead found that internalfinancing is the...
Persistent link: https://www.econbiz.de/10005844569
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Estimating the Expected Cost of Equity Capital Using Consensus Forecasts
Daske, Holger; Gebhardt, Günther; Klein, Stefan - 2004
In this study, we develop a technique for estimating a firm’s expected cost of equity capital derivedfrom analyst consensus forecasts and stock prices. Building on the work of Gebhardt/Lee/-Swaminathan (2001) and Easton/Taylor/Shroff/Sougiannis (2002), our approach allows dailyestimation, using...
Persistent link: https://www.econbiz.de/10005844578
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Networks of Micro and Small Enterprise Banks: A Contribution to Financial Sector Development
Schmidt, Reinhard H.; Von Pischke, John D. - 2004
The paper is a follow-up to an article published in Technique Financière etDeveloppement in 2000 (see the appendix to the hardcopy version), which portrayedthe first results of a new strategy in the field of development finance implemented inSouth-East Europe. This strategy consists in creating...
Persistent link: https://www.econbiz.de/10005845290
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Evaluating internal credit rating systems depending on bank size
Frerichs, Hergen; Wahrenburg, Mark - 2003
Under a new Basel capital accord, bank regulators might use quantitative measures when evaluating the eligibility of internal credit rating systems for the internal ratings based approach. Based on data from Deutsche Bundesbank and using a simulation approach, we find that it is possible to...
Persistent link: https://www.econbiz.de/10005844534
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Hedging the Exchange Rate Risk in International Portfolio Diversification:Currency Forwards versus Currency Options
Maurer, Raimond; Valiani, Shohreh - 2003
As past research suggest, currency exposure risk is a main source of overall risk of internationaldiversified portfolios. Thus, controlling the currency risk is an important instrument forcontrolling and improving investment performance of international investments. This studyexamines the...
Persistent link: https://www.econbiz.de/10005844542
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German banks – a declining industry?
Hackethal, Andreas - 2003
This paper is a draft for the chapter “German banks and banking structure” of theforthcoming book “The German financial system”. As such, the paper starts out with adescription of past and present structural features of the German banking industry. Given thepresented empirical evidence it...
Persistent link: https://www.econbiz.de/10005844545
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European Securitisation: A GARCH Model of CDO, MBS and Pfandbrief Spreads
Jobst, Andreas - 2003
Asset-backed securitisation (ABS) is an asset funding technique that involvesthe issuance of structured claims on the cash flow performance of a designatedpool of underlying receivables. Efficient risk management and asset allocation inthis growing segment of fixed income markets requires both...
Persistent link: https://www.econbiz.de/10005844580
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Efficient Systems for the Securities Transaction Industry - A Framework for the European Union
Serifsoy, Sarif; Weiss, Marco - 2003
This paper provides a framework for the securities transaction industry inthe EU to understand the functions performed, the institutions involved andthe parameters concerned that shape market and ownership structure. Ofparticular interest are microeconomic incentives of the industry players...
Persistent link: https://www.econbiz.de/10005844581
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Verbriefung und ihre Auswirkung auf dieFinanzmarktstabilität
Jobst, Andreas - 2003
Ziel dieser Präsentation ist es, eine Verbindung zwischen Verbriefung und Finanzmarkstabilität unter Berücksichtigung veränderter Finanzintermediation herzustellen. In der folgenden Abhandlung soll nun zunächst auf die Natur der Verbriefung per se eingegangen werden, um sodann anhand...
Persistent link: https://www.econbiz.de/10005844582
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