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  • Search: subject:"Marktrisiko"
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Year of publication
Subject
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Marktrisiko 551 Market risk 451 Risikomanagement 144 Risikomaß 118 Risk management 118 Risk measure 114 Portfolio-Management 92 Portfolio selection 91 Risiko 88 Kreditrisiko 84 Risk 83 Theorie 81 Theory 80 Credit risk 69 Volatilität 60 Volatility 58 Welt 53 World 53 Risikoprämie 52 Schätzung 52 Estimation 51 Risk premium 51 Basel Accord 50 Basler Akkord 50 Bank 46 USA 45 Bank risk 43 Bankrisiko 43 United States 42 CAPM 38 Deutschland 36 Finanzmarkt 36 Messung 36 Germany 35 ARCH model 34 ARCH-Modell 34 Aktienmarkt 34 Financial market 34 Stock market 32 Cost of capital 31
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Online availability
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Free 173 Undetermined 46
Type of publication
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Book / Working Paper 303 Article 246 Journal 3
Type of publication (narrower categories)
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Article in journal 181 Aufsatz in Zeitschrift 181 Graue Literatur 85 Non-commercial literature 85 Working Paper 66 Arbeitspapier 61 Aufsatz im Buch 57 Book section 57 Hochschulschrift 44 Thesis 38 Collection of articles of several authors 30 Sammelwerk 30 Aufsatzsammlung 18 Dissertation u.a. Prüfungsschriften 11 Handbook 7 Handbuch 7 Konferenzschrift 6 Bibliografie enthalten 5 Bibliography included 5 Case study 5 Fallstudie 5 Lehrbuch 5 Textbook 4 Amtsdruckschrift 3 Collection of articles written by one author 3 Glossar enthalten 3 Glossary included 3 Government document 3 Sammlung 3 Conference proceedings 2 Guidebook 2 Ratgeber 2 Amtliche Publikation 1 Bibliografie 1 Doctoral Thesis 1 Interview 1 Mehrbändiges Werk 1 Multi-volume publication 1 Research Report 1
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Language
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English 401 German 133 Polish 5 Undetermined 4 French 3 Spanish 3 Norwegian 2 Slovenian 1
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Author
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Bartram, Söhnke M. 11 Fernandez, Pablo 11 Stulz, René M. 11 Brown, Gregory W. 10 Aguirreamalloa, Javier 7 Carpenter, Jennifer N. 7 Lu, Fangzhou 7 Alexander, Carol 6 Allen, David E. 6 Dowd, Kevin 6 McAleer, Michael 6 Piazolo, Daniel 6 Romeike, Frank 6 Fernández Acín, Isabel 5 Fernández, Pablo 5 Fricke, Jens 5 Kaserer, Christoph 5 Neisen, Martin 5 Singh, Abhay Kumar 5 Stein, Michael 5 Stoyanov, Stoyan V. 5 Wehn, Carsten 5 Avendaño, Luis Corres 4 Bask, Mikael 4 Jendruschewitz, Boris 4 Powell, Robert 4 Stange, Sebastian 4 Varotto, Simone 4 Whitelaw, Robert F. 4 Albrecht, Peter 3 Arnold, Sven 3 Böcker, Klaus 3 Chin, Wen Cheong 3 Chlebus, Marcin 3 Corres, Luis 3 Diebold, Francis X. 3 Drenovak, Mikica 3 Fürst, Benedikt 3 Galeotti, Marcello 3 Gürtler, Marc 3
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Institution
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Basel Committee on Banking Supervision 4 National Bureau of Economic Research 4 Deutsche Bundesbank <Frankfurt, Main> / Volkswirtschaftliche Forschungsgruppe 3 London School of Economics and Political Science 3 Springer-Verlag GmbH 2 Uniwersytet Warszawski / Wydział Nauk Ekonomicznych 2 Verlag Dr. Kovač 2 Verlag Fritz Knapp GmbH 2 Banca Monte dei Paschi di Siena 1 Bank of England 1 Bank-Verlag GmbH 1 Banka e Shqipërisë 1 Birkbeck College <London> / Department of Economics 1 Bundesbank Symposium Bankenaufsicht im Dialog <20., 2016, Frankfurt am Main> 1 Bundesbank Symposium Bankenaufsicht im Dialog <2017, Frankfurt am Main> 1 Conference of the Bank of Albania and the South East European Studies at Oxford <2017, Tirana> 1 Edward Elgar Publishing 1 Fachhochschule Jena / Fachbereich Betriebswirtschaft 1 Federal Reserve Bank <New York, NY> 1 Finanz Colloquium Heidelberg 1 Gottfried Wilhelm Leibniz Universität Hannover 1 Herbert Utz Verlag 1 International Conference on Managing Credit and Market Risk. New Techniques for New Sources of Risk <1, 2000, Verona> 1 Joint Committee of the European Supervisory Authorities 1 New York Clearinghouse Association 1 Nordakademie <Elmshorn> 1 Professional Risk Managers' International Association 1 Springer International Publishing 1 Sveriges Riksbank 1 UVK Verlagsgesellschaft mbH 1 Uni-Taschenbücher GmbH 1 Universität <Berlin, Humboldt-Universität> / Chair for Management Science 1 Universität Mannheim 1 Wiley-VCH 1
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Published in...
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Risiko-Manager 12 The journal of real estate research 7 The professional risk managers' guide to financial instruments 7 Working paper / National Bureau of Economic Research, Inc. 6 Corporate finance / Biz 5 Corporate finance : Finanzierung, Kapitalmarkt, Bewertung, Mergers & Acquisitions 5 Journal of risk 5 Schriftenreihe Finanzmanagement 5 Working papers / IESE Business School, University of Navarra 5 Diskussionsbeiträge zur Bankbetriebslehre 4 Europäische Hochschulschriften / 5 4 NBER working paper series 4 Reihe: Finanzierung, Kapitalmarkt und Banken 4 The VaR implementation handbook 4 The journal of risk and insurance : the journal of the American Risk and Insurance Association 4 Working Paper 4 Accounting and finance : journal of the Accounting Association of Australia and New Zealand 3 Bankrisikomanagement : Mindestanforderungen, Instrumente und Strategien für Banken 3 Econometric Institute research papers 3 Fisher College of Business working paper series 3 Handbuch Solvabilität : aufsichtliche Kapitalanforderungen an Kreditinstitute 3 Journal of risk and financial management : JRFM 3 London School of Economics and Political Science - Publications 3 Mannheimer Manuskripte zur Risikotheorie, Portfolio Management und Versicherungswirtschaft 3 Market risk analysis / Carol Alexander 3 Marktrisikoregulierung im Umbruch 3 NBER Working Paper 3 Reihe 2: "Banking and Financial Studies" 3 School of Accounting, Finance and Economics & FEMARC working paper series 3 The empirical economics letters : a monthly international journal of economics 3 Australian journal of management 2 Bank-Archiv : Zeitschrift für das gesamte Bank- und Börsenwesen : journal of banking and financial research 2 British journal of management : BJM 2 CEFS working paper series / Center for Entrepreneurial and Financial Studies (CEFS), TUM Business School, Technische Universität München 2 CESifo Working Paper Series 2 CESifo working papers 2 Consultative document 2 Dresdner Beiträge zu quantitativen Verfahren 2 ECB Working Paper 2 Enterprise risk management : [today's leading research and best practices for tomorrow's executives] 2
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Source
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ECONIS (ZBW) 500 USB Cologne (EcoSocSci) 29 USB Cologne (business full texts) 13 EconStor 7 BASE 2 RePEc 1
Showing 1 - 10 of 552
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Pensjonsreformen og individuell risiko
Reiakvam, Lisa Kristine; Solheim, Haakon; Vatne, Bjørn … - 2022
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Persistent link: https://www.econbiz.de/10013373840
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The effects of the COVID-19 crisis on risk factors and option-implied expected market risk premia : an international perspective
Nieto Domenech, Belen; Rubio, Gonzalo - In: Journal of risk and financial management : JRFM 15 (2022) 1, pp. 1-29
Institutional investors often have to decide which strategy to use across international business cycles. This is especially important during economic and financial crises. The exogenous nature of the outbreak of the dramatic COVID-19 crisis represents a unique opportunity to understand the...
Persistent link: https://www.econbiz.de/10012813368
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Pensjonsreformen og individuell risiko
Reiakvam, Lisa Kristine; Solheim, Haakon; Vatne, Bjørn … - 2022
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Preview
Persistent link: https://www.econbiz.de/10012818749
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Evaluating market risk from leveraged derivative exposures
Jukonis, Audrius - 2022
Market participants use leveraged derivatives to gain access to equity market exposure through broker banks. Leverage and interconnectedness via overlapping portfolios of dealer banks can amplify adverse market movements, potentially causing sizeable losses. I propose a model, based on granular...
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Persistent link: https://www.econbiz.de/10013367613
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Evaluating Market Risk from Leveraged Derivative Exposures
Jukonis, Audrius - 2022
Market participants use leveraged derivatives to gain access to equity market exposure through broker banks. Leverage and interconnectedness via overlapping portfolios of dealer banks can amplify adverse market movements, potentially causing sizeable losses. I propose a model, based on granular...
Persistent link: https://www.econbiz.de/10013491644
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Macro Tail Risk and Market Risk Premium
Chen, Jian; Liao, Cunfei; Tang, Guohao - 2022
This paper proposes an aggregate index of macro tail risk and examines its role in asset pricing. We observe that a positive market risk premium compensated for the downside risk of macro fundamentals; a high tail risk predicts subsequent high returns. This predictability exists both in- and...
Persistent link: https://www.econbiz.de/10013491825
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Market Risk and Speculation Factors
Ghazi, Soroush; Schneider, Mark - 2022
We decompose the excess market return into speculation and non-speculation components. The former is negative and predicted by market sentiment. The latter is positive and not predicted by sentiment. The speculation component explains roughly 30% of the variation in the excess market return. In...
Persistent link: https://www.econbiz.de/10013492273
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The Effectiveness of Unconventional Monetary Policy on Risk Aversion and Uncertainty
Rompolis, Leonidas - 2022
This paper examines the impact of unconventional monetary policy of ECB measured by its balance sheet expansion on euro area equity market uncertainty and investors risk aversion within a structural VAR framework. An expansionary balance sheet shock decreases both risk aversion and uncertainty...
Persistent link: https://www.econbiz.de/10013492572
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Delayed Creative Destruction : How Uncertainty Shapes Corporate Assets
Campello, Murillo; Kankanhalli, Gaurav; Kim, Hyunseob - National Bureau of Economic Research - 2021
We show how uncertainty shapes the asset allocation, composition, productivity, and value of capital-intensive firms. We do so using detailed, near-universal data on shipping firms' new orders, secondary-market transactions, and demolition of ships. Firms curtail both the acquisition and...
Persistent link: https://www.econbiz.de/10012585455
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Does working capital management influence operating and market risk of firms?
Akbar, Ahsan; Akbar, Minhas; Nazir, Marina; Poulova, Petra - In: Risks : open access journal 9 (2021) 11, pp. 1-20
Extant empirical studies have predominantly focused on the nexus between working capital management (WCM) and corporate profitability. While there is a dearth of literature on the nexus between WCM and a firm's risk, the present study examines Pakistani-listed firms coming from 12 diverse...
Persistent link: https://www.econbiz.de/10012704044
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