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Portfolio selection 6 Portfolio-Management 6 Theorie 6 Theory 6 Anlageverhalten 4 Behavioural finance 4 Capital income 4 Kapitaleinkommen 4 CAPM 3 Financial market 3 Finanzmarkt 3 Investment Fund 3 Investmentfonds 3 Welt 3 World 3 Anleihe 2 Bond 2 Börsenkurs 2 Discounting 2 Diskontierung 2 Financial crisis 2 Financial investment 2 Finanzkrise 2 Hedge fund 2 Hedgefonds 2 Kapitalanlage 2 Risiko 2 Risk 2 Securities trading 2 Share price 2 Wertpapierhandel 2 ABS 1 ARCH model 1 ARCH-Modell 1 Affine models 1 Aktienindex 1 Arbitrage Pricing 1 Arbitrage pricing 1 Asset backed security 1 Asset-Backed Securities 1
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Undetermined 16
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Article 16
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English 16
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Andersen, Torben G. 1 Barber, Brad M. 1 Bollerslev, Tim 1 Brunnermeier, Markus K. 1 Christoffersen, Peter F. 1 Diebold, Francis X. 1 Duffee, Gregory R. 1 Elton, Edwin J. 1 Ferson, Wayne E. 1 Fung, William 1 Gruber, Martin J. 1 Guiso, Luigi 1 Hansen, Lars Peter 1 Hsieh, David A. 1 Hull, John 1 Ludvigson, Sydney C. 1 Odean, Terrance 1 Oehmke, Martin 1 Sodini, Paolo 1 Vayanos, Dimitri 1 Wang, Jiang 1 White, Alan 1
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Financial markets and asset pricing 16
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ECONIS (ZBW) 16
Showing 1 - 10 of 16
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Index
2013
Persistent link: https://www.econbiz.de/10014025351
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Copyright
2013
Persistent link: https://www.econbiz.de/10014025354
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Chapter 23. Risk Pricing over Alternative Investment Horizons
Hansen, Lars Peter - 2013
I explore methods that characterize model-based valuation of stochastically growing cash flows. Following previous research, I use stochastic discount factors as a convenient device to depict asset values. I extend that literature by focusing on the impact of compounding these discount factors...
Persistent link: https://www.econbiz.de/10014025355
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Chapter 22. The Behavior of Individual Investors
Barber, Brad M.; Odean, Terrance - 2013
We provide an overview of research on the stock trading behavior of individual investors. This research documents that individual investors (1) underperform standard benchmarks (e.g. a low-cost index fund), (2) sell winning investments while holding losing investments (the “disposition...
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Chapter 21. Household Finance: An Emerging Field
Guiso, Luigi; Sodini, Paolo - 2013
Household finance—the normative and positive study of how households use financial markets to achieve their objectives—has gained a lot of attention over the past decade and has become a field with its own identity, style, and agenda. In this chapter we review its evolution and most recent...
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Chapter 20. Credit Derivatives
Hull, John; White, Alan - 2013
This chapter explains how the main types of credit derivatives work and how they are valued. Central to the valuation of credit derivatives is an estimation of the probability that reference entities will default. The chapter discusses both the risk-neutral probabilities of default implied from...
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Chapter 19. Market Liquidity—Theory and Empirical Evidence
Vayanos, Dimitri; Wang, Jiang - 2013
In this paper we survey the theoretical and empirical literatures on market liquidity. We organize both literatures around three basic questions: (a) how to measure illiquidity, (b) how illiquidity relates to underlying market imperfections and other asset characteristics, and (c) how...
Persistent link: https://www.econbiz.de/10014025359
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Chapter 18. Bubbles, Financial Crises, and Systemic Risk
Brunnermeier, Markus K.; Oehmke, Martin - 2013
This chapter surveys the literature on bubbles, financial crises, and systemic risk. The first part of the chapter provides a brief historical account of bubbles and financial crisis. The second part of the chapter gives a structured overview of the literature on financial bubbles. The third...
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Chapter 17. Financial Risk Measurement for Financial Risk Management
Andersen, Torben G.; Bollerslev, Tim; Christoffersen, … - 2013
Current practice largely follows restrictive approaches to market risk measurement, such as historical simulation or RiskMetrics. In contrast, we propose flexible methods that exploit recent developments in financial econometrics and are likely to produce more accurate risk assessments, treating...
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Chapter 16. Hedge Funds
Fung, William; Hsieh, David A. - 2013
This chapter begins with a brief history of hedge funds from the perspective of hedge fund investors—exploring the attributes that attracted private, wealthy investors to an opaque, nascent hedge fund industry during the decades leading up to new millennium. Following the chronology of several...
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