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Year of publication
Subject
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Theorie 134 Deutschland 113 Corporate Governance 60 Theory 59 Schätzung 55 Germany 49 Börsenkurs 32 Estimation 28 Finanzsystem 27 Portfolio-Management 27 Bank 25 USA 24 Corporate governance 23 Finanzsektor 23 Welt 23 Großbritannien 22 Finanzwirtschaft 21 Prinzipal-Agent-Theorie 20 corporate finance 19 Investitionsentscheidung 17 Kreditrisiko 17 Vergleich 16 Optionspreistheorie 15 Asymmetrische Information 14 Financial system 14 Frankreich 14 Kreditwürdigkeit 14 Share price 14 Japan 13 Portfolio selection 13 United States 13 Wertpapierhandel 13 Shareholder Value 12 Finanzintermediation 11 IFRS 11 Immobilienfonds 11 Kapitalstruktur 11 Regulierung 11 Rendite 11 United Kingdom 11
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Online availability
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Free 213
Type of publication
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Book / Working Paper 489 Article 13
Type of publication (narrower categories)
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Working Paper 286 Arbeitspapier 109 Graue Literatur 109 Non-commercial literature 109 Konferenzschrift 1
Language
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English 343 German 160
Author
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Schmidt, Reinhard H. 91 Maurer, Raimond 50 Hackethal, Andreas 36 Tyrell, Marcel 27 Theissen, Erik 22 Gebhardt, Günther 18 Sebastian, Steffen 16 Daske, Holger 14 Grote, Michael H. 14 Grammig, Joachim 13 Krahnen, Jan Pieter 13 Nowak, Eric 13 Gaber, Christian 12 Laux, Volker 12 Stephan, Thomas G. 12 Güttler, André 11 Leuz, Christian 11 Reiner, Frank 11 Schlag, Christian 11 Bannier, Christina E. 9 Herold, Ulf 9 Hujer, Reinhard 9 Kokot, Stefan 9 Löffler, Gunter 9 Wahrenburg, Mark 9 Gillenkirch, Robert M. 8 Laux, Helmut 8 Nell, Martin 8 Serifsoy, Baris 8 Weiss, Marco 8 Wüstemann, Jens 8 Behr, Patrick 7 Elsas, Ralf 7 Maurer, Raimond H. 7 Raupach, Peter 7 Tschach, Ingo E. 7 D'Arcy, Anne 6 Feess, Eberhard 6 Frerichs, Hergen 6 Jobst, Andreas 6
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Institution
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Universität <Frankfurt, Main> / Fachbereich Wirtschaftswissenschaften 6 Johann Wolfgang Goethe-Universität - Lehrstuhl für Internationales Bank- und Finanzwesen 1 Universität Frankfurt, Main / Fachbereich Wirtschaftswissenschaften 1
Published in...
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Working Paper Series: Finance & Accounting 178 Working paper series / Finance & accounting 118 Working paper series / Johann Wolfgang Goethe-Universität Frankfurt, Fachbereich Wirtschaftswissenschaften 99 Working Paper Series Finance & Accounting 59 Universität Frankfurt am Main - Working Paper Series Finance & Accounting 16 Johann Wolfgang Goethe-Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften - Working Paper Series Finance & Accounting 14 Working paper series / Finance / Johann Wolfgang Goethe-Universität Frankfurt, Fachbereich Wirtschaftswissenschaften 12 Johann Wolfgang Goethe-Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften - Working Paper Series 11 Universität Frankfurt am Main - Abteilung Finanzen - Working Paper Series Finance and Accounting 10 Johann Wolfgang Goethe-Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften 7 Universität Frankfurt - Fachbereich Wirtschaftswissenschaften - Working Paper Series 7 Universität Frankfurt - Fachbereich Wirtschaftswissenschaften - Working Paper Series Finance & Accounting 7 Johann Wolfgang Goethe-Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften - Working Paper Series Finance & Acconting 4 Universität Frankfurt am Main- Abteilung Finanzen - Working Paper Series 4 Universität Frankfurt am Main- Fachbereich Wirtschaftswissenschaften- Abteilung Finanzen - Working Paper Series 4 Johann Wolfgang Goethe-Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften - Publikationen 3 Universität Frankfurt am Main - Fachbereich Wirtschaftswissenschaften - Working Paper Series Finance & Accounting 3 Universität Frankfurt- Abteilung Finanzen - Working Paper Series 3 Johann Wolfgang Goethe-Universität - Lehrstuhl für Internationales Bank- und Finanzwesen - Publikationen 2 Universität Frankfurt - Abteilung Finanzen - Working Paper Series Finance & Accounting 2 Universität Frankfurt - Fachbereich Wirtschaftswissenschaften 2 Universität Frankfurt am Main - Abteilung Finanzen 2 Universität Frankfurt am Main - Abteilung Finanzen - WP 2 Universität Frankfurt am Main - Abteilung Finanzen - Working Paper Series 2 WORKING PAPER SERIES: FINANCE & ACCOUNTING 2 Albach, H. / Eymann, E. / Luhmer, A. / Steven, M. (2000): Theory of the Firm, Berlin: Springer Verlag, S. 59-91 1 Das vorliegendende Working Paper ist eine erweiterte Fassung der Artikel „Hypothekenbanken:Die Zukunft liegt im Firmenkundengeschäft“ (erschienen in „Die Bank“, Heft 8/2003) und„Internationalisierungsstrategien deutscher Hypothekenbanken: Die Zukunft liegt im Ausland“(erscheint in „Immobilien & Finanzierung“) 1 Deutsche Bundesbank (2001): The Monetary Transmission Process: Recent Developments and Lessons for Europe, London: Palgrave 1 Deutscher Aktuarverein (Hrsg.): Investmentmodelle für das Asset-Liability-Modelling von Versicherungsunternehmen, 2000 1 Die Betriebswirtschaft 61 (2001) 1 Dieser Beitrag wurde gehalten bei: Annual Congress of theEuropean Accounting Association, Graz/Österreich, 23.-25. April 1997 1 Financial Markets and Portfolio Management 1 Frankfurt - Johann Wolfgang Goethe Universität - Working Paper Series der Abteilung Finance & Accounting 1 George G. Kaufman (2000): Research in Financial Services - Bank Crises: Causes, Analysis and Prevention, : JAI Press-Elsevier Science (Vol. 12) 1 Hans-Christian Mager u.a. (2001): Private Versicherung und Soziale Sicherung, Marburg , S. 103-121 1 Heinz Ahrens (2003): Neuere Ansätze der theoretischen und empirischen Entwicklungsforschung, Berlin: Duncker und Humblot, S. 39-73 1 Hommelhoff, Hopt, v. Werder (2003): Handbuch Corporate Governance, Stuttgart: Verlag Dr. Otto Schmidt. Schäffer Poeschel, S. 107-127 1 International Finance 5 (2002) 1 International Journal of Accounting 38 (2003) 1 J.P.Krahnen, R.H.Schmidt (2004): The German Financial System, Oxford: Oxford University, S. 19-67 1
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Source
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EconStor 177 USB Cologne (EcoSocSci) 118 ECONIS (ZBW) 111 USB Cologne (business full texts) 96
Showing 1 - 10 of 502
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What is the impact of stock market contagion on an investor's portfolio choice?
Branger, Nicole; Kraft, Holger; Meinerding, Christoph - 2009
Stocks are exposed to the risk of sudden downward jumps. Additionally, a crash in one stock (or index) can increase the risk of crashes in other stocks (or indices). Our paper explicitly takes this contagion risk into account and studies its impact on the portfolio decision of a CRRA investor...
Persistent link: https://www.econbiz.de/10010316140
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Foundations of continuous-time recrusive utility: Differentiability and normalization of certainty equivalents
Kraft, Holger; Seifried, Frank Thomas - 2009
This paper relates recursive utility in continuous time to its discrete-time origins and provides a rigorous and intuitive alternative to a heuristic approach presented in [Duffie, Epstein 1992], who formally define recursive utility in continuous time via backward stochastic differential...
Persistent link: https://www.econbiz.de/10010271454
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CDOs and systematic risk: Why bond ratings are inadequate
Krahnen, Jan Pieter; Wilde, Christian - 2009
This paper analyzes the risk properties of typical asset-backed securities (ABS), like CDOs or MBS, relying on a model with both macroeconomic and idiosyncratic components. The examined properties include expected loss, loss given default, and macro factor dependencies. Using a two-dimensional...
Persistent link: https://www.econbiz.de/10010271455
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Investment, income, and incompleteness
Bick, Björn; Kraft, Holger; Munk, Claus - 2009
The utility-maximizing consumption and investment strategy of an individual investor receiving an unspanned labor income stream seems impossible to find in closed form and very difficult to find using numerical solution techniques. We suggest an easy procedure for finding a specific, simple, and...
Persistent link: https://www.econbiz.de/10010271456
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Does size matter? Economies of scale in the German mutual fund industry
Mauerer, Raimond; Schaefer, Alexander - 2009
In this paper, we analyze economies of scale for German mutual fund complexes. Using 2002-2005 data of 41 investment management companies, we specify a hedonic translog cost function. Applying a fixed effects regression on a one-way error component model there is clear evidence of significant...
Persistent link: https://www.econbiz.de/10010271457
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Optimal housing, consumption, and investment decisions over the life-cycle
Kraft, Holger; Munk, Claus - 2009
We provide explicit solutions to life-cycle utility maximization problems simultaneously involving dynamic decisions on investments in stocks and bonds, consumption of perishable goods, and the rental and the ownership of residential real estate. House prices, stock prices, interest rates, and...
Persistent link: https://www.econbiz.de/10010271458
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Financial constraints and the decision to lease: Evidence from German SME
Slotty, Constantin - 2009
The objective of this paper is to test the hypothesis that in particular financially constrained firms lease a higher share of their assets to mitigate problems of asymmetric information. The assumptions are tested under a GMM framework which simultaneously controls for endogeneity problems and...
Persistent link: https://www.econbiz.de/10010271459
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Manipulation des Börsenkurses durch gezielte Informationspolitik im Rahmen von Squeeze-Outs? Eine empirische Untersuchung am deutschen Kapitalmarkt
Daske, Holger; Bassemir, Moritz; Fischer, Felix F. - 2009
Der vorliegende Beitrag untersucht, ob der Mehrheitsaktionär einer Gesellschaft im Vorfeld eines Zwangsausschlusses von Minderheitsaktionären (sog. Squeeze-Out) versucht, die Kapitalmarkterwartungen negativ zu beeinflussen. Ein solches 'manipulatives' Verhalten wird häufig in der juristischen...
Persistent link: https://www.econbiz.de/10010271460
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Does IT standardization help to boost cost and profit efficiency? Empirical evidence from German savings banks
Noth, Felix; Slotty, Constantin; Hackethal, Andreas - 2009
This paper investigates the impact of IT standardization on bank performance based on a panel of 457 German savings banks over the period from 1996 to 2006. We measure IT standardization as the fraction of IT expenses for centralized services over banks' total IT expenses. Bank efficiency, in...
Persistent link: https://www.econbiz.de/10010271461
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Gauging risk with higher moments: Handrails in measuring and optimising conditional value at risk
Bugár, Gyöngyi; Maurer, Raimond H.; Vo, Huy Thanh - 2009
The aim of the paper is to study empirically the influence of higher moments of the return distribution on conditional value at risk (CVaR). To be more exact, we attempt to reveal the extent to which the risk given by CVaR can be estimated when relying on the mean, standard deviation, skewness...
Persistent link: https://www.econbiz.de/10010275840
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