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Subject
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Risikomanagement
172
Risk management
171
Deutschland
78
Germany
78
Credit risk
49
Kreditrisiko
49
Bank risk
39
Bankrisiko
39
Bank lending
25
Kreditgeschäft
25
Basel Accord
24
Basler Akkord
24
Portfolio selection
21
Portfolio-Management
21
Bank management
19
Bankmanagement
19
Bank
18
Bank liquidity
15
Bankenliquidität
15
Operational risk
13
Operationelles Risiko
13
Market risk
12
Marktrisiko
12
Bankenaufsicht
10
Bewertung
10
Evaluation
10
Securitization
10
Verbriefung
10
Banking supervision
9
Credit rating
9
Financial crisis
9
Finanzkrise
9
Insurance
9
Kreditwürdigkeit
9
Risikomaß
9
Risk measure
9
Versicherung
9
Berichtswesen
8
Betriebliche Kennzahl
8
EU countries
8
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Type of publication
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Article
223
Book / Working Paper
6
Journal
2
Type of publication (narrower categories)
All
Article in journal
223
Aufsatz in Zeitschrift
223
Mehrbändiges Werk
25
Multi-volume publication
25
Interview
14
Collection of articles of several authors
5
Sammelwerk
5
Aufsatzsammlung
1
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Language
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German
231
Author
All
Romeike, Frank
15
Gleißner, Werner
10
Beck, Andreas
6
Lesko, Michael
6
Hamerle, Alfred
5
Koll, Matthias
5
Mitschele, Andreas
5
Ender, Manuela
4
Pföstl, Georg von
4
Rieder, Markus J.
4
Schlottmann, Frank
4
Willems, Marion Charlotte
4
Broll, Udo
3
Cerveny, Frank
3
Drüen, Jörg
3
Dürr, Holger
3
Erben, Roland F.
3
Feix, Martin
3
Hirschmann, Stefan
3
Hölscher, Reinhold
3
Jobst, Rainer
3
Karrenbauer, Ulrike
3
Klingeler, Rainer
3
Niedostadek, André
3
Strohhecker, Jürgen
3
Stübner, Peter
3
Vorgrimler, Stephan
3
Weber, Dieter
3
Andrulis, Jonas
2
Baumgart, André
2
Becker, Tim
2
Bächstädt, Karl-Heinz
2
Dörr, Martin
2
Engels, Jörg
2
Everling, Oliver
2
Falk, Thomas
2
Fischer, Katharina
2
Freilinger, Carsten
2
Füser, Karsten
2
Glebovskiy, Alexander
2
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Institution
All
Bank-Verlag GmbH
1
D & B Deutschland GmbH <Darmstadt>
1
Published in...
All
Risiko-Manager
NBER working paper series
1,637
Working paper / National Bureau of Economic Research, Inc.
1,550
Journal of banking & finance
1,461
NBER Working Paper
1,309
Finance research letters
1,233
IMF Staff Country Reports
1,134
MPRA Paper
1,042
IMF Working Papers
927
Discussion paper / Centre for Economic Policy Research
828
Insurance / Mathematics & economics
826
Economics letters
749
European journal of operational research : EJOR
742
International review of financial analysis
703
CESifo working papers
689
Applied economics
634
Working paper
626
Discussion paper series / IZA
604
Risks : open access journal
604
Journal of financial economics
570
IZA Discussion Papers
559
International review of economics & finance : IREF
543
IMF working papers
532
Management science : journal of the Institute for Operations Research and the Management Sciences
530
Energy economics
526
CESifo Working Paper
525
Discussion papers / CEPR
505
Economic modelling
505
SpringerLink / Bücher
495
Journal of economic behavior & organization : JEBO
492
ECB Working Paper
489
The review of financial studies
475
CEPR Discussion Papers
470
Working Paper
468
Applied economics letters
464
Natural Hazards
458
Journal of risk and financial management : JRFM
457
Research in international business and finance
454
Journal of international money and finance
436
Journal of economic dynamics & control
432
Journal of risk management in financial institutions
423
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Source
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ECONIS (ZBW)
231
Showing
1
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10
of
231
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1
Marktrisikoregulierung im Umbruch
Quell, Peter
(
ed.
);
Wehn, Carsten
(
ed.
)
-
2016
-
1. Auflage 2016
Persistent link: https://www.econbiz.de/10011572643
Saved in:
2
VaR-Dekomposition und Diversifikationseffekte : systematische und idiosynkratische Risiken
Hamerle, Alfred
;
Knapp, Michael
;
Werndl, Thomas
- In:
Risiko-Manager
(
2011
)
9
,
pp. 1,8-17
Persistent link: https://www.econbiz.de/10008991560
Saved in:
3
Die Parametrisierung des Value at
Risk
in der Bankensteuerung : Parametrisierung von Risikomaßen
Stoklossa, Harald
- In:
Risiko-Manager
(
2011
)
12
,
pp. 1,8-13
Persistent link: https://www.econbiz.de/10009153549
Saved in:
4
Aktienbeleihung : Pauschalansatz oder VaR? ; Bestimmung von Beleihungsgrenzen
Knoll, Leonhard
;
Tartler, Thomas
;
Ziemer, Franziska
- In:
Risiko-Manager
(
2011
)
16
,
pp. 14-19
Persistent link: https://www.econbiz.de/10009238804
Saved in:
5
Anforderungen an moderne Gesamtbanksteuerungssysteme : Finanzmarktkrise und Banksteuerung
Wagner, Roland
;
Wimmer, Konrad
- In:
Risiko-Manager
(
2009
)
8
,
pp. 1,6-10
Persistent link: https://www.econbiz.de/10003824764
Saved in:
6
Bewertung von Risikokonzentrationen : mehr als nur neue Kennzahlen ; Risikokumulierung
Brzozowska, Aneta
;
Stübner, Peter
- In:
Risiko-Manager
(
2010
)
17
,
pp. 1,8-16
Persistent link: https://www.econbiz.de/10003996999
Saved in:
7
Länderrisiken finden Eingang in die Risikostrategien
Hirschmann, Stefan
- In:
Risiko-Manager
(
2011
)
11
,
pp. 18-19
Persistent link: https://www.econbiz.de/10009125174
Saved in:
8
CreditMetrics und CreditRisk+ und Saddlepoint-Approximation ; Portfolio Kreditrisiko : Stand der Forschung und Praxis
Mahlknecht, Michael
- In:
Risiko-Manager
(
2007
)
22
,
pp. 15-18
Persistent link: https://www.econbiz.de/10003562935
Saved in:
9
Handbuch ICAAP
Heuter, Henning
(
ed.
);
Igl, Andreas
(
ed.
)
-
2015
Persistent link: https://www.econbiz.de/10014009329
Saved in:
10
Mehrjährige makroökonomische Stresstests : ein ökonometrischer Ansatz ; Stressszenarien im Bankenportfolio
Hamerle, Alfred
;
Jobst, Rainer
;
Lerner, Matthias
- In:
Risiko-Manager
(
2008
)
9
,
pp. 1,8-15
Persistent link: https://www.econbiz.de/10003691460
Saved in:
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