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Year of publication
Subject
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Portfoliomanagement 1,112 Portfolio selection 564 Portfolio-Management 564 Theorie 299 Theory 296 Kapitalanlage 142 Risikomanagement 134 Portfolio Selection 124 Finanzanalyse 123 Deutschland 113 Betriebliche Portfoliostrategie 102 Corporate portfolio strategy 102 Germany 97 Financial investment 96 Financial analysis 95 Risk management 77 USA 69 Anlageverhalten 63 Strategisches Management 62 Behavioural finance 60 CAPM 58 United States 57 Bank 50 Investmentfonds 46 Investition 45 Welt 43 World 43 Markenpolitik 40 Projektmanagement 40 Kapitalmarkttheorie 38 Risiko 38 Schätzung 36 Strategic management 35 Kreditrisiko 34 Aufsatzsammlung 33 Estimation 33 Investment Fund 33 Kreditmarkt 33 Derivat 30 Derivative 30
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Online availability
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Undetermined 141 Free 52 CC license 1
Type of publication
All
Book / Working Paper 1,134 Article 51 Journal 9
Type of publication (narrower categories)
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Hochschulschrift 241 Thesis 170 Graue Literatur 85 Non-commercial literature 85 Dissertation u.a. Prüfungsschriften 83 Lehrbuch 76 Collection of articles of several authors 70 Sammelwerk 70 Textbook 67 Aufsatzsammlung 49 Article in journal 41 Aufsatz in Zeitschrift 41 Arbeitspapier 33 Working Paper 33 Bibliografie enthalten 26 Bibliography included 26 Collection of articles written by one author 20 Sammlung 20 Glossar enthalten 18 Glossary included 18 Handbook 16 Handbuch 16 Konferenzschrift 14 Ratgeber 14 Case study 13 Fallstudie 13 Guidebook 13 Bibliografie 9 Aufsatz im Buch 8 Book section 8 Universitätsschrift 6 Conference proceedings 5 Forschungsbericht 5 Bibliographie 4 Festschrift 4 Mehrbändiges Werk 4 Multi-volume publication 4 Systematic review 4 Übersichtsarbeit 4 Reprint 3
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Language
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English 677 German 431 Undetermined 99 French 5 Polish 2
Author
All
Fabozzi, Frank J. 41 Bodie, Zvi 15 Elton, Edwin J. 15 Kane, Alex 15 Marcus, Alan J. 15 Gruber, Martin Jay 12 Scherer, Bernd 9 Bruns, Christoph 8 Hirzel, Matthias 8 Meyer-Bullerdiek, Frieder 8 Reilly, Frank K. 7 Fischer, Donald E. 6 Jordan, Ronald J. 6 Kleeberg, Jochen M. 6 Račev, Svetlozar T. 6 Brunner, Christian Boris 5 Duffie, Darrell 5 Firchau, Volker 5 Haugen, Robert A. 5 Honold-Reichert, Thomas 5 Poddig, Thorsten 5 Rehkugler, Heinz 5 Satchell, Stephen 5 Wagner, Reinhard 5 Alter, Wolfgang 4 Breuer, Wolfgang 4 Dichtl, Hubert 4 Eller, Roland 4 Francis, Jack Clark 4 Gibson, Roger C. 4 Gürtler, Marc 4 Korn, Ralf 4 Kreuzberg, Klaus 4 Markowitz, Harry 4 Marty, Wolfgang 4 Paludkiewicz, Karol 4 Reinschmidt, Timo 4 Schnorr, Stephan 4 Schuhmacher, Frank 4 Sharpe, William F. 4
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Institution
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Springer Fachmedien Wiesbaden 9 Verlag Dr. Kovač 5 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 4 Schweizerische Vereinigung für Finanzanalyse und Vermögensverwaltung 4 Arbeitsgemeinschaft für Betriebliche Altersversorgung 3 Bauhaus-Universität Weimar 3 Universität Zürich / Institut für Schweizerisches Bankwesen 3 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 2 C.F. Müller Verlag 2 CFA Institute <Charlottesville, Va.> 2 Springer International Publishing 2 Steinbeis-Stiftung für Wirtschaftsförderung 2 Symposion Publishing Verlag <Düsseldorf> 2 Wharton School 2 Agplan, Gesellschaft für Planung 1 Albert-Ludwigs-Universität Freiburg / Betriebswirtschaftliches Seminar 1 Alpbacher Bankenseminar <1986> 1 Bank für Internationalen Zahlungsausgleich 1 Bauhaus-Universitätsverlag Weimar 1 CRC Press 1 Chartered Alternative Investment Analyst Association 1 De Gruyter Oldenbourg 1 Deutsche Gesellschaft für Projektmanagement 1 Eric Cuvillier <Firma> 1 Europäische Zentralbank 1 FinanzBuch Verlag 1 Frank J. Fabozzi Associates <New Hope, Pa.> 1 Global Association of Risk Professionals 1 Haufe-Lexware GmbH & Co. KG 1 Heinz Nixdorf Institut 1 Immobilien Zeitung Verlagsgesellschaft <Wiesbaden> 1 Institut für Bankwirtschaft <Sankt Gallen> 1 Institutional Investor <Firma> 1 Institutional Investor Systems, Inc. <New York, NY> 1 International Meeting on Financial Innovation <2, 1989, Mailand> 1 Internationaler Währungsfonds 1 Josef Eul Verlag GmbH 1 Münsteraner Wohnungswirtschaftliche Gespräche <16, 2005, Münster, Westfalen> 1 National Bureau of Economic Research 1 New Trends in Asset Management: Exploring the Implications <Veranstaltung> <2008, München> 1
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Published in...
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SpringerLink / Bücher 52 Wiley finance series 23 Discussion paper / Centre for Economic Policy Research 15 Europäische Hochschulschriften / 5 14 Gabler Edition Wissenschaft 13 The Frank J. Fabozzi series 13 Springer eBook Collection / Business and Economics 11 Research 9 Bank- und finanzwirtschaftliche Forschungen 8 The journal of product innovation management : an international publication of the Product Development & Management Association 8 Wiley finance 7 Contemporary studies in economic and financial analysis 6 International series in operations research & management science 6 Schriftenreihe Finanzmanagement 6 Springer eBook Collection 6 Wiley trading series 6 Arbeitspapiere zur mathematischen Wirtschaftsforschung 5 Chapman & Hall/CRC financial mathematics series 5 Journal of small business management : JSBM ; a joint publ. 4 times a year of the International Council for Small Business and the West Virginia University Bureau of Business Research 5 Lecture notes in economics and mathematical systems : LNEMS 5 Springer eBook Collection / Economics and Finance 5 Diskussionsbeiträge zur Bankbetriebslehre 4 Innovatives Markenmanagement 4 Schriftenreihe Finanzierung und Banken 4 Schriftenreihe Studien zum Konsumentenverhalten 4 Springer-Gabler Research 4 The McGraw-Hill/Irwin series in finance, insurance, and real estate 4 A Chapman & Hall book 3 Advances in mergers and acquisitions 3 Berichte aus der Betriebswirtschaft 3 Bloomberg financial series 3 Frank J. Fabozzi Ser 3 Frank J. Fabozzi series 3 Harvard business review : HBR 3 Physica-Schriften zur Betriebswirtschaft 3 Quantitative finance series 3 Schriften zu Management, Organisation und Information 3 Schriften zu Marketing und Management 3 Schriftenreihe Annales Universitatis Saraviensis / Rechts- und Wirtschaftswissenschaftliche Abteilung 3 Springer texts in business and economics 3
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Source
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ECONIS (ZBW) 809 USB Cologne (EcoSocSci) 385
Showing 1 - 50 of 1,194
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Beyond the scope of the deal : configuration of technology alliance portfolios and the introduction of management innovation
Estrada, Isabel; Zhou, Haibo - In: British journal of management 33 (2022) 2, pp. 980-996
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Die Portfolio-Revolution : das Ende der klassischen Portfoliotheorie
Felsenheimer, Jochen - 2024
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Quantitative risk and portfolio management : theory and practice
Winston, Kenneth - 2024
"A modern introduction to risk and portfolio management for advanced undergraduate and beginning graduate students who will become practitioners in the field of quantitative finance, including extensive live data and Python code which allow the application of theory to real-world situations."
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Lean-Adaptive Project Portfolio Management : Ein prozess- und prinzipienorientiertes Referenzmodell
Hüsselmann, Claus - 2024 - 1. Auflage
Das Multiprojektmanagement, insbesondere das Projekt-Portfoliomanagement, ist eine relativ neue Disziplin. Aufgrund der spezifischen Anforderungen der IT-Welt und der Dynamik der Wirtschaftswelt hat sich in den letzten Jahren der Wunsch nach einer Weiterentwicklung des Multiprojektmanagements...
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Projektportfolio Sustainability Monitor 2024 : Studie in der deutschen Unternehmenspraxis mit Fokus auf die UN Sustainable Development Goals
Eichenberg, Timm; Peuser, Martina - Deutsche Gesellschaft für Projektmanagement - 2024
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Investments
Bodie, Zvi; Kane, Alex; Marcus, Alan J. - 2024 - Thirteenth edition, international student edition
"The past three decades witnessed rapid and profound change in the investments industry as well as a financial crisis of historic magnitude. The vast expansion of financial markets during this period was due in part to innovations in securitization and credit enhancement that gave birth to new...
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Lean-Adaptive Project Portfolio Management : ein prozess- und prinzipienorientiertes Referenzmodell
Hüsselmann, Claus - 2024 - 1. Auflage
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The complete guide to portfolio performance : appraise, analyze, act
François, Pascal; Hübner, Georges - 2024
"Portfolio performance measures are a key factor in the investment decision, enabling investors to gauge how effectively their money is being managed, covering the level of risk as well as the level of return. Effective and accurate portfolio performance measurement is a fundamental requirement...
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Asset Management and Institutional Investors : Methods and Tools for Asset Allocation, Portfolio Management and Performance Evaluation
Basile, Ignazio (ed.); Ferrari, Pierpaolo (ed.) - 2024 - Second edition
Institutional Investors -- Collective Investment Vehicles and Other Asset Management Products -- Stages of Investment Management Policy -- Strategic Asset Allocation with Mean-Variance Optimisation -- Methods and Tools for Portfolio Selection -- Alternative Approaches to Traditional...
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Estimation and portfolio optimization with expert opinions in discrete-time financial markets
Xu, Yihua - 2021
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Risks and global supply chains : What we know and what we need to know
Baldwin, Richard E.; Freeman, Rebecca - National Bureau of Economic Research - 2021
Recent supply disruptions catapulted the issue of risk in global supply chains (GSCs) to the top of policy agendas and created the impression that shortages would have been less severe if GSCs were either shorter and more domestic, or more diversified. But is this right? We start our answer by...
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Portfolioanalysen im Vergleich
Gramlich, Samantha; Obreiter, Nadine; Otomierczyk, Laura; … - 2021
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Eine Methode zur Modularisierung von Produktportfolios in der Logistik
Froese, Jan - 2023
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Microeconomic construal of Porter's generic strategies : clarifying the mechanics of core business strategy
Voss, Richard S.; Lucas, Aaron D. - In: Journal of business and economic perspectives 50 (2023) 1, pp. 115-152
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Institutionelle Kapitalanlage : erfolgreiches Portfoliomanagement für professionelle Anleger
Jesch, Thomas A. (ed.); Brodehser, Peter (ed.) - 2023 - 1. Auflage
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Strategic portfolio management : in the multi-project and program organisation
Angliss, Katy (ed.); Harpum, Pete (ed.) - 2023
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Strategisches Projektportfolio-Management : wie sich Projektlandschaften ausrichten und steuern lassen
Rietsch, Jörg - 2023 - 3. Auflage
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Buying right and selling high : multiple expansion still matters for private equity value creation
Degen, Dominik; Dickenbrok, Axel; Herfurth, Jana; … - In: Corporate finance : Finanzierung, Kapitalmarkt, … 14 (2023) 3/4, pp. 89-94
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Two centuries of commodity cycles : dynamics of the metals & mining industry in light of modern portfolio theory
Pfeifer, Jan - 2020
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Unconventional Monetary Policy, Bank Lending, and Security Holdings : The Yield-Induced Portfolio Rebalancing Channel
Paludkiewicz, Karol - 2019
Exploiting a granular dataset of banks' security holdings I assess the impact of unconventional monetary policy on bank lending and security holdings. Using a difference-in-differences regression setup and holding the security composition of each bank constant at its level in January 2014, well...
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Essentials of investments
Bodie, Zvi; Kane, Alex; Marcus, Alan J. - 2022 - Twelfth edition, international student edition
"Essentials of Investments, Twelfth Edition, is intended as a textbook on investment analysis most applicable for a student's first course in investments. The chapters are written in a modular format to give instructors the flexibility to either omit certain chapters or rearrange their order....
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Investments : digitale Vermögensverwaltung - nachhaltiges Portfoliomanagement - alternative Kapitalanlagen
Grüner, Andreas; Gutknecht, Dominic - 2022
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Alternative Data and Artificial Intelligence Techniques : Applications in Investment and Risk Management
Zhang, Qingquan Tony; Li, Beibei; Xie, Danxia - 2022
Chapter 1: The introduction of the portfolio management and risk evaluation -- Chapter 2: The major trends in financial portfolio management -- Chapter 3: Machine Learning and AI in financial portfolio management -- Chapter 4: Introduction of Alternative data in Finance -- Chapter 5: Alternative...
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Investments : digitale Vermögensverwaltung – Nachhaltiges Portfoliomanagement – Alternative Kapitalanlagen
Grüner, Andreas; Gutknecht, Dominic - 2022
Dieses Buch bietet einen vertieften Einblick in die Vermögensverwaltung, das Portfoliomanagement und die alternativen Kapitalanlagen und verbindet die Ausführungen mit den derzeit zentralen Themen der digitalen Transformation und des nachhaltigen Investierens. Als Ausgangspunkt erörtert es...
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Kapitalanlage in der betrieblichen Altersversorgung : Grundlagen und Praxis
Haferstock, Bernd (contributor); John, Olaf (contributor);  … - Arbeitsgemeinschaft für Betriebliche Altersversorgung - 2022 - 4., neu bearbeitete Auflage
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Strategische Planung der Transformation von Antriebsportfolios in der Automobilindustrie
Hüls, Christoph - 2022
Einleitung -- Determinanten der Transformation von Antriebsportfolios -- Planung von Antriebsportfolios in der Automobilindustrie -- Modelle zur strategischen Planung von Produkt- und Projektportfolios -- Entwicklung eines Modells zur strategischen Planung der Transformation von...
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Tie strength dispersion and alliance portfolio performance : the moderating effects of CEOs' political and international experience
Bi, Jingyu; Xie, En; Sheng, Shibin - In: British journal of management 33 (2022) 2, pp. 997-1023
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Unconventional Monetary Policy, Bank Lending, and Security Holdings : The Yield-Induced Portfolio Rebalancing Channel
Paludkiewicz, Karol - 2018
This paper studies the impact of unconventional monetary policy on bank lending and security holdings. I exploit granular security register data and use a difference - in-differences regression setup to provide evidence for the presence of a yield-induced portfolio rebalancing channel: Banks...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012914660
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Unconventional monetary policy, bank lending, and security holdings : the yield-induced portfolio rebalancing channel
Paludkiewicz, Karol - 2018
Exploiting a granular dataset of banks' security holdings I assess the impact of unconventional monetary policy on bank lending and security holdings. Using a difference-in-differences regression setup and holding the security composition of each bank constant at its level in January 2014, well...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011874277
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Delegated investing and the role of investment outcomes, quality, and trust
Germann, Maximilian - 2018
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Umsetzung des Core-Satellite-Ansatzes unter Berücksichtigung nachhaltiger und faktorbasierter Investitionsstrategien : eine Potenzialanalyse auf dem europäischen Aktienmarkt
Raith, Sven - 2021
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Unconventional monetary policy, bank lending, and security holdings : the yield-induced portfolio-rebalancing channel
Paludkiewicz, Karol - In: Journal of financial and quantitative analysis : JFQA 56 (2021) 2, pp. 531-568
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Risk spreading between the diversified subscription businesses and the existing business : focusing on the case of Apple
Monden, Yasuhiro - In: Management control systems for strategic changes : …, (pp. 3-18). 2021
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Financial information analysis for business portfolio strategy : with reference to segment reporting by Mitsubishi Electric Group
Hiraoka, Shūfuku - In: Management control systems for strategic changes : …, (pp. 51-70). 2021
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Beiträge zur Besteuerung von Indexprodukten und den Auswirkungen der Investmentsteuerreform
Gurr, Paul - 2021
In der vorliegenden Arbeit wird in vier Forschungsbeiträgen der Einfluss der Besteuerung auf Investitionsentscheidungen in Indexprodukte (Indexzertifikate, börsengehandelte Indexfonds) untersucht sowie eine Evaluierung der Auswirkungen des Gesetzes zur Reform der Investmentbesteuerung auf...
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Corporate Strategy : nachhaltige Wertsteigerung in diversifizierten Unternehmen
Müller-Stewens, Günter; Brauer, Matthias - 2021 - 2. Auflage
Auf Grundlage des Corporate-Management-Modells identifizieren die Autoren zehn Wertsteigerungshebel, die zusammen den normativen Rahmen, die Corporate Strategy und die internen Corporate-Governance-Mechanismen bilden. Mit zahlreichen Fallbeispielen.
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Diversification and Connection in Banking. First Findings
Zara, Claudio - 2016
On the issue of bank's diversification literature usually refers to revenue mix, geographical markets and M&A deals. This paper aims to fill a gap by investigating diversification in terms of different business combinations (carrying out activities in different client front-end businesses). More...
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Risikolose Anlagen und vorzeitige Einkommensmaxima in Ruhestandsdepots
May, Stefan - 2016
Aufgrund volatiler Anlagen und stochastischer Zinsen kann speziell bei Altersvorsorgedepots die Situation auftreten, dass ein geplantes Ruhestandseinkommensziel bereits vor dem eigentlichen Rentenantritt erreicht wird. In einem solchen Fall ist es für den Anleger unter Umständen sinnvoll, den...
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Process project portfolio management : considering process and project interactions in process decision-making
Lehnert, Martin Klaus Florian - 2016
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Product design and capital efficiency in participating life insurance under risk based solvency frameworks
Wieland, Jochen Alois Georg - 2016
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Ein Nutzenmaximierungsproblem mit unvollständiger Information und Expertenmeinungen in einem Finanzmarkt mit Markov-modulierter Drift
Schütze, Stephan - 2016
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Decision support in IT and risk : on the economic valuation of strategic decisions in IT innovation Management, Credit Portfolio Management, and Hedging
Lindermeir, Andreas - 2016
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Family equity and direct entrepreneurial investments in entrepreneurial families
Bierl, Philipp Alexander - 2020
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Analyse der Entscheidungsfindung bei Investitions- und Desinvestitionsmaßnahmen im Immobilien-Portfoliomanagement
Habermehl, Hans-Christoph - 2020
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Benutzerzentrierte Unternehmensarchitekturen : ein portfolio-orientierter Ansatz zur Geschäftstransformation mit ArchiMate®
Karagiannis, Dimitris (ed.); Moser, Christoph (ed.);  … - 2020
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Professionelles Portfoliomanagement : Aufbau, Umsetzung und Erfolgskontrolle strukturierter Anlagestrategien
Bruns, Christoph; Meyer-Bullerdiek, Frieder - 2020 - 6. Auflage
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Ein Kapitalmarktinformations-basierter Portfoliomanagementansatz : Kapitalmarktanomalien und Meta-Analysen in der Finanzwirtschaft
Frädrich, Corinna - 2020
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Analyse des Diversifikationspotenzials von CAT-Bonds in einem Multi-Asset-Portfoliokontext
Tegtmeier, Lars; Thiele, Ilka - In: Corporate finance : Finanzierung, Kapitalmarkt, … 11 (2020) 5/6, pp. 160-166
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The invincible company : you're holding a guide to the world's best business models : use it to inquire your own portfolio of new ideas and reinventions : design a culture of innovation and transformation to become ...
Osterwalder, Alexander; Pigneur, Yves; Smith, Alan; … - 2020
Intro -- The Invincible Company -- From Business Model Generation to Invincible Company -- How to Read This Book -- Contents -- Chapter 1: Tool -- Business Model Portfolio -- The Explore/Exploit Continuum -- The Portfolio Map -- Portfolio Management -- Explore -- Five Innovation Journey Myths --...
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Quantitative portfolio management : with applications in Python
Brugière, Pierre - 2020
This self-contained book presents the main techniques of quantitative portfolio management and associated statistical methods in a very didactic and structured way, in a minimum number of pages. The concepts of investment portfolios, self-financing portfolios and absence of arbitrage...
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