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  • Search: subject:"Marktrisiko"
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Year of publication
Subject
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Marktrisiko 1,012 Market risk 907 Risikomanagement 364 Risk management 338 Theorie 317 Theory 316 Risiko 288 Risk 283 Risikomaß 277 Risk measure 272 Portfolio-Management 242 Portfolio selection 241 Kreditrisiko 168 Credit risk 152 Bank risk 151 Bankrisiko 151 Volatilität 147 Volatility 145 Risikoprämie 134 Risk premium 132 Basel Accord 114 Basler Akkord 114 CAPM 110 Schätzung 102 Estimation 101 market risk 88 Welt 87 World 87 Kapitaleinkommen 82 Capital income 81 ARCH model 69 ARCH-Modell 69 Bank 62 Finanzmarkt 62 USA 62 Prognoseverfahren 61 Financial market 60 Forecasting model 60 Börsenkurs 59 United States 59
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Online availability
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Free 365 Undetermined 194 CC license 22
Type of publication
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Article 525 Book / Working Paper 486 Journal 3
Type of publication (narrower categories)
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Article in journal 440 Aufsatz in Zeitschrift 440 Graue Literatur 127 Non-commercial literature 127 Working Paper 109 Arbeitspapier 104 Aufsatz im Buch 69 Book section 69 Hochschulschrift 51 Thesis 38 Collection of articles of several authors 30 Sammelwerk 30 Aufsatzsammlung 23 Dissertation u.a. Prüfungsschriften 11 Handbook 7 Handbuch 7 Lehrbuch 7 Konferenzschrift 6 Bibliografie enthalten 5 Bibliography included 5 Case study 5 Fallstudie 5 Textbook 5 Collection of articles written by one author 3 Glossar enthalten 3 Glossary included 3 Sammlung 3 Conference paper 2 Conference proceedings 2 Guidebook 2 Konferenzbeitrag 2 Ratgeber 2 Amtsdruckschrift 1 Bibliografie 1 Doctoral Thesis 1 Government document 1 Interview 1 Research Report 1
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Language
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English 856 German 137 French 6 Polish 5 Undetermined 4 Spanish 3 Norwegian 2 Slovenian 1
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Author
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Bartram, Söhnke M. 14 Hassani, Samir Saissi 14 Stulz, René M. 14 Brown, Gregory W. 13 Dionne, Georges 12 Fernandez, Pablo 11 Fernández, Pablo 10 Alexander, Carol 8 Kaserer, Christoph 8 McAleer, Michael 8 Aguirreamalloa, Javier 7 Dowd, Kevin 7 Fernández Acín, Isabel 7 Bask, Mikael 6 Carpenter, Jennifer N. 6 Lu, Fangzhou 6 Piazolo, Daniel 6 Romeike, Frank 6 Stein, Michael 6 Stoyanov, Stoyan V. 6 Whitelaw, Robert F. 6 Allen, David E. 5 Batten, Jonathan A. 5 Diebold, Francis X. 5 Fricke, Jens 5 Gürtler, Marc 5 Neisen, Martin 5 Wagner, Niklas F. 5 Wehn, Carsten 5 Andersen, Torben 4 Avendaño, Luis Corres 4 Chlebus, Marcin 4 Corelli, Angelo 4 Cummins, Mark 4 Fantazzini, Dean 4 Figuerola-Ferretti, Isabel 4 Jendruschewitz, Boris 4 Malloch, Hamish 4 Moretti, Marina 4 Powell, Robert 4
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Institution
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National Bureau of Economic Research 8 Basel Committee on Banking Supervision 4 Deutsche Bundesbank <Frankfurt, Main> / Volkswirtschaftliche Forschungsgruppe 3 European Central Bank 3 London School of Economics and Political Science 3 Verlag Dr. Kovač 3 Fritz Knapp Verlag 2 Springer-Verlag GmbH 2 Uniwersytet Warszawski / Wydział Nauk Ekonomicznych 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 Universität Münster 1 Wiley-VCH 1
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Published in...
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Journal of risk 14 Risiko-Manager 12 Journal of banking & finance 11 Journal of risk management in financial institutions 11 Risks : open access journal 10 Finance research letters 8 NBER working paper series 8 SpringerLink / Bücher 7 The journal of real estate research 7 The professional risk managers' guide to financial instruments 7 Working papers 7 Working paper / National Bureau of Economic Research, Inc. 6 CIRRELT 5 Corporate finance / Biz 5 Corporate finance : Finanzierung, Kapitalmarkt, Bewertung, Mergers & Acquisitions 5 Energy economics 5 International journal of economics and financial issues : IJEFI 5 Journal of risk and financial management : JRFM 5 NBER Working Paper 5 Schriftenreihe Finanzmanagement 5 The North American journal of economics and finance : a journal of financial economics studies 5 The journal of risk model validation 5 Working papers / IESE Business School, University of Navarra 5 Accounting and finance : journal of the Accounting Association of Australia and New Zealand 4 Diskussionsbeiträge zur Bankbetriebslehre 4 Economic modelling 4 Europäische Hochschulschriften / 5 4 Fisher College of Business working paper series 4 International review of financial analysis 4 Investment management and financial innovations 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 Applied economics 3 Applied financial economics 3 Bankrisikomanagement : Mindestanforderungen, Instrumente und Strategien für Banken 3 CESifo working papers 3 Econometric Institute research papers 3 Ekonomika : međunarodni časopis za ekonomsku teoriju i praksu i društvena pitanja 3
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Source
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ECONIS (ZBW) 962 USB Cologne (EcoSocSci) 29 USB Cologne (business full texts) 13 EconStor 7 BASE 2 RePEc 1
Showing 1 - 10 of 1,014
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The impact of nature restoration law on equity behavior : how biodiversity risk affects market risk
Capelli, Paolo; Gai, Lorenzo; Ielasi, Federica; Taddei, … - In: Risks : open access journal 13 (2025) 3, pp. 1-19
This study examines the market reaction to the approval of the Nature Restoration Law, a key component of the EU Biodiversity Strategy, and its implications for biodiversity-related financial risks. Using an event study methodology, we analyze the equity price movements of companies listed in...
Persistent link: https://www.econbiz.de/10015358879
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Crisis facilities as a source of public information
Ergun, Lerby - 2025
Persistent link: https://www.econbiz.de/10015373063
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Market risk of securities held by Italian banks and insurance companies
Bianchi, Michele Leonardo; Pallante, Federica - 2025
Persistent link: https://www.econbiz.de/10015408587
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Monte Carlo-based VaR estimation and backtesting under Basel III
Cheng, Yueming - In: Risks : open access journal 13 (2025) 8, pp. 1-17
Value-at-Risk (VaR) is a key metric widely applied in market risk assessment and regulatory compliance under the Basel III framework. This study compares two Monte Carlo-based VaR models using publicly available equity data: a return-based model calibrated to historical portfolio volatility, and...
Persistent link: https://www.econbiz.de/10015448974
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Forecasting Value-at-Risk for cryptocurrencies
Michaelides, Michael; Poudyal, Niraj - In: International review of finance : the official journal … 25 (2025) 3, pp. 1-30
Persistent link: https://www.econbiz.de/10015457737
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Time-varying risk aversion and capital structure : an overlooked effect
Grau-Vera, David; Rubio, Gonzalo; Sogorb-Mira, Francisco - In: International review of economics & finance : IREF 102 (2025), pp. 1-15
Persistent link: https://www.econbiz.de/10015463219
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Précisions importantes sur le backtesting comparatif de la VaR
Hassani, Samir Saissi - 2025
Persistent link: https://www.econbiz.de/10015464246
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Measuring the impact of transition risk on financial markets : a joint VaR-ES approach
Garcia-Jorcano, Laura; Sanchis-Marco, Lidia - In: Journal of forecasting 44 (2025) 6, pp. 1907-1945
Persistent link: https://www.econbiz.de/10015464743
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Précisions importantes sur le backtesting comparatif de la VaR
Hassani, Samir Saissi - 2025
Persistent link: https://www.econbiz.de/10015467549
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The European tango between market risk and credit risk : a non-linear approach
Almeida, Dora; Ferreira, Paulo; Dionísio, Andreia … - In: Finance research letters 83 (2025), pp. 1-6
Persistent link: https://www.econbiz.de/10015553636
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