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  • Search: person:"Vanini, Paolo"
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Year of publication
Subject
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Theorie 15 Theory 14 Portfolio selection 13 Portfolio-Management 13 Risikomanagement 12 Kreditrisiko 7 risk management 7 Unemployment 6 Volatilität 6 Arbeitslosenversicherung 5 Arbeitslosigkeit 5 Arbeitsuche 5 Derivat 5 Derivative 5 Risk management 5 Volatility 5 Arbeitsmarktintegration 4 Credit risk 4 Hedging 4 Job search 4 Labour market integration 4 USA 4 Unemployment insurance 4 United States 4 Unvollkommene Information 4 Value at Risk 4 Anlageverhalten 3 Behavioural finance 3 Demographics 3 Incomplete information 3 Interest rate 3 Learning process 3 Lernprozess 3 Moral hazard 3 National economy 3 Portfoliomanagement 3 Risikoaversion 3 Risikoprämie 3 Risikoverteilung 3 Risk analysis 3
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Online availability
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Free 52 Undetermined 17 CC license 1
Type of publication
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Book / Working Paper 86 Article 52
Type of publication (narrower categories)
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Article in journal 17 Aufsatz in Zeitschrift 17 Working Paper 8 Arbeitspapier 7 Graue Literatur 7 Non-commercial literature 7 Aufsatz im Buch 1 Book section 1 Glossar enthalten 1 Glossary included 1 research-article 1
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Language
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English 71 Undetermined 65 German 2
Author
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Vanini, Paolo 136 Leippold, Markus 40 Trojani, Fabio 36 Ebnöther, Silvan 9 Döbeli, Barbara 8 Padovani, Miret 7 Strulik, Holger 7 Syz, Juerg M. 7 Tyran, Jean-Robert 7 Vignola, Luigi 7 Salvi, Marco 6 Syz, Juerg 5 Andersson, Andreas 4 Ebnoether, Silvan 4 Egloff, Daniel 4 McNeil, Alexander 4 Antolinez-Fehr, Pierre 3 Braun, Norman 3 Doebeli, Barbara 3 Farinelli, Simone 3 Brumen, Gorazd 2 Dalbert, Curdin 2 Domenig, Thomas 2 VANINI, Paolo 2 Akguen, Aydin 1 Akgün, Aydin 1 Albrecher, Hansjörg 1 Antolinez, Pierre 1 Broumandi, Shadie 1 Brown, Norman 1 Büchler, Matthias 1 Dobeli, Barbara 1 Doebeli, Babara 1 Ebnother, Silvan 1 Eglo, Daniel 1 Embrechts, Paul 1 Ferretti, Robetro G. 1 Filipović, Damir 1 Harrison, Glenn W. 1 Hungerbühler, Norbert 1
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Institution
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Institut für Schweizerisches Bankwesen <Zürich> 19 National Centre of Competence in Research North South <Bern> 13 Swiss National Centre of Competence in Research North South <Bern> 4 National Centre of Competence in ResearchFinancial Valuation and Risk Management 2 School of Economics and Political Science, Universität St. Gallen 1 Schweizerischer Verband für Strukturierte Produkte 1 Swiss Finance Institute 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1 Wirtschaftswissenschaftliche Fakultät, Leibniz Universität Hannover 1 Økonomisk Institut, Københavns Universitet 1
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Published in...
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Working Paper 21 Universität Zürich - Institut für Schweizerisches Bankwesen - Working Papers 13 Journal of banking & finance 10 FINRISK Working Paper Series 6 Journal of economic dynamics & control 6 Institut für Schweizerisches Bankwesen Zürich - Working Paper Series 5 Journal of Banking & Finance 5 The journal of real estate finance and economics 4 Journal of Economic Dynamics and Control 3 The review of financial studies 3 Journal of Risk Finance 2 Journal of institutional and theoretical economics : JITE 2 Journal of risk finance : the convergence of financial products and insurance 2 Research paper series / Swiss Finance Institute 2 Review of finance : journal of the European Finance Association 2 The Journal of Real Estate Finance and Economics 2 The journal of credit risk : published quarterly by Incisive Media 2 Advances in operational risk : firm-wide issues for financial institutions 1 Computational methods in decision-making, economics and finance 1 Discussion Papers / Økonomisk Institut, Københavns Universitet 1 Discussion paper / Centre for Economic Policy Research 1 Discussion paper / Universität St. Gallen, Volkswirtschaftliche Abteilung ; School of Economics and Political Science, Department of Economics 1 Discussion papers / Department of Economics, University of Copenhagen 1 Diskussionsbeitrag 1 Diskussionspapiere der Wirtschaftswissenschaftlichen Fakultät / Wirtschaftswissenschaftliche Fakultät, Universität Hannover : Hannover economic papers (HEP) 1 EFA 2004 Maastricht Meetings 1 European Financial Management 1 European finance review : the official journal of the European Finance Association 1 FAME Research Paper Series 1 Financial innovation : FIN 1 Hannover Economic Papers (HEP) 1 Journal of Institutional and Theoretical Economics (JITE) 1 MPRA Paper 1 Research paper / International Center for Financial Asset Management and Engineering 1 Review of Finance 1 Review of Financial Studies 1 Swiss Banking Institute Working Paper 1 Swiss Finance Institute Research Paper 1 Swiss Finance Institute Research Paper Series 1 The Journal of Risk Finance 1
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Source
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ECONIS (ZBW) 72 USB Cologne (business full texts) 25 RePEc 22 OLC EcoSci 16 BASE 1 EconStor 1 Other ZBW resources 1
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Showing 1 - 10 of 138
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Online payment fraud : from anomaly detection to risk management
Vanini, Paolo; Rossi, Sebastiano; Zvizdic, Ermin; … - In: Financial innovation : FIN 9 (2023) 1, pp. 1-25
Online banking fraud occurs whenever a criminal can seize accounts and transfer funds from an individual's online bank account. Successfully preventing this requires the detection of as many fraudsters as possible, without producing too many false alarms. This is a challenge for machine learning...
Persistent link: https://www.econbiz.de/10014289065
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Asset Management
Vanini, Paolo - 2020
These lecture notes cover old and new investment methods, regulatory and legal developments and the role of technology as a game changer in asset management. The discussion gives the same weight to the theoretical and practical aspects of asset management. The focus is on portfolio...
Persistent link: https://www.econbiz.de/10012855810
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Banking Transformation
Vanini, Paolo - 2018
Persistent link: https://www.econbiz.de/10012938556
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Digital Disruption
Vanini, Paolo - 2018
The extent of digital disruption was not really perceived by many financial intermediaries justa few years ago. It is clear in 2017 that the digital disruption will change the financial industryfar more widely than the regulatory avalanches did since the financial crisis: The business modelin...
Persistent link: https://www.econbiz.de/10012933707
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Structured Products : Performance, Costs and Investments
Maringer, Dietmar - 2016
This paper analyzes structured products with a focus on the Swiss market. Empirical results for these products' five major categories are presented, along with case studies and a general discussion. The paper addresses three main questions: How did structured products perform in the period...
Persistent link: https://www.econbiz.de/10013004531
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Pricing of Derivatives with Stochastically Correlated Underlyings
Büchler, Matthias - 2014
We price derivatives defined for different asset classes with a full stochastic dependence structure. We consider jointly geometric Brownian motions and mean-reversion processes with a a stochastic variance-covariance matrix driven by a Wishart process. These models cannot be treated within the...
Persistent link: https://www.econbiz.de/10013063402
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An Analysis of Imf-Induced Moral Hazard
Döbeli, Barbara; Vanini, Paolo - 2014
Three channels through which the IMF rescue package may affect international leading can be distinguished: debtor-side moral hazard, creditor-side moral hazard, and debtor and creditor-side moral hazard. We show that if the rescue package fully benefits the debtor, no credit contract between him...
Persistent link: https://www.econbiz.de/10014118888
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Stochastic Volatility II : Variance Gamma Model: Analysis and Implementation
Domenig, Thomas - 2013
We recall some fundamentals on Levy processes. Then the Gamma distribution, the Variance Gamma process and option pricing for this process are considered in detail. To implement the Variance Gamma model for option pricing, we use the fast Fourier transform, time change and discuss error bounds
Persistent link: https://www.econbiz.de/10013094921
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Fiancial Innovation, Structuring and Risk Transfer
Vanini, Paolo - Volkswirtschaftliche Fakultät, … - 2012
These lecture notes are about financial innovations. We ask why are there some innovation and how is an innovative idea realized. This forces us to consider practical and structural aspects (regulations, taxation, markets) as key drivers of innovations and also basic formal aspects in valuation....
Persistent link: https://www.econbiz.de/10011109326
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Cover Image
Fiancial Innovation, Structuring and Risk Transfer
Vanini, Paolo - 2012
These lecture notes are about financial innovations. We ask why are there some innovation and how is an innovative idea realized. This forces us to consider practical and structural aspects (regulations, taxation, markets) as key drivers of innovations and also basic formal aspects in valuation....
Persistent link: https://www.econbiz.de/10015234562
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