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Content
2024
2023
2022
- 233 Corporate FX hedging: An introduction for the corporate treasury
by Heidorn, Thomas & Pavicic, Tim & Sieber, Antje
- 232 How the IBOR reform affects interest rate swaps
by Goebel, Josua & Heidorn, Thomas & Huang, Zizhen
- 231 The dynamics of rating based credit benchmark curves
by Heidorn, Thomas & Schlamann, Sara
- 230 The impact of ESG ratings on implied and historical volatility
by Burger, Eric & Grba, Fabian & Heidorn, Thomas
2020
2019
2018
2017
2016
- 223 Does public health insurance increase maternal health care utilization in Egypt?
by Rashad, Ahmed Shoukry & Sharaf, Mesbah Fathy & Mansour, Elhussien I.
- 222 Income inequality and intimate partner violence against women: Evidence from India
by Rashada, Ahmed Shoukry & Sharaf, Mesbah Fathy
- 221 The relative attractiveness of Germany and the United States for Chinese overseas investments
by Greenup, Katherine & Löchel, Horst
- 220 The funding of small and medium companies by shadow-banks in China
by Löchel, Horst & Packham, Natalie & Hölzl, Eugen
2015
- 219 Climate policy with the chequebook: Economic considerations on climate investment support
by Kempa, Karol & Moslener, Ulf
- 218 Forecaster overconfidence and market survey performance
by Deaves, Richard & Lei, Jin & Schröder, Michael
- 217 Are SRI funds conventional funds in disguise or do they live up to their name?
by Nitsche, Christin & Schröder, Michael
- 216 Politicians' promotion incentives and bank risk exposure in China
by Wang, Li & Menkhoff, Lukas & Schröder, Michael & Xu, Xian
- 215 What drives the demand of monetary financial institutions for domestic government bonds? Empirical evidence on the impact of Basel II and Basel III
by Lang, Michael & Schröder, Michael
2014
- 213 Who is afraid of the Asset Quality Review? Potential losses and capital shortfalls in the European banking system
by Bonczek, Thomas & Fuest, Clemens & Schröder, Michael
- 212 Neue regulatorische Konzepte der Bankenaufsicht und ihre Auswirkungen auf die Gesamtbanksteuerung
by Noack, Tim & Cremers, Heinz & Mala, Julia
- 211 Default probabilities and default correlations under stress
by Packham, Natalie & Kalkbrener, Michael & Overbeck, Ludger
- 210 The liquidity reserve funding and management strategies
by Heidorn, Thomas & Buschmann, Christian
- 209 The impact of fundamental and financial traders on the term structure of oil
by Heidorn, Thomas & Mokinski, Frieder & Rühl, Christoph & Schmaltz, Christian
- 208 Messung des Marktrisikos mit generalisierter autoregressiver bedingter heteroskedastischer Modellierung der Volatilität: Ein Vergleich univariater und multivariater Konzepte
by Krasnosselski, Nikolai & Cremers, Heinz & Sanddorf, Walter
- 207 The lender of last resort in court
by Winkler, Adalbert
2013
- 206 Der lender of last resort vor Gericht
by Winkler, Adalbert
- 205 The early warnings of balance-of-payments problems: Kaminsky and Reinhart revisited
by Lang, Michael
- 204 Komponenten und Determinanten des Credit Spreads: Empirische Untersuchung während Phasen von Marktstress
by Odermann, Alexander & Cremers, Heinz
- 203 Functions and characteristics of corporate and sovereign CDS
by Vogel, Heinz-Dieter & Bannier, Christina E. & Heidorn, Thomas
- 202 Determinants of the onshore and offshore Chinese Government yield curves
by Loechel, Horst & Packham, Natalie & Walisch, Fabian
- 201 China's evolving green planning system: Are targets the answer?
by Kostka, Genia
- 200 Exploring the interrelation between process management and organizational culture: A critical review
by Grau, Corinna & Moormann, Jürgen
- 199 Communism or communists? Soviet legacies and corruption in transition economies
by Libman, Alexander & Obydenkova, Anastassia
2012
- 198 Integration des Marktliquiditätsrisikos in das Risikoanalysekonzept des Value at Risk
by Völker, Florian & Cremers, Heinz & Panzer, Christof
- 197 Who's afraid of big bad banks? Bank competition, SME, and industry growth
by Inklaar, Robert & Koetter, Michael & Noth, Felix
- 196 What makes Chinese firms productive? Learning from indigenous and foreign sources of knowledge
by Boeing, Philipp & Mueller, Elisabeth & Sandner, Philipp
- 195 Eine Analyse des Credit Spreads und seiner Komponenten als Grundlage für Hedge Strategien mit Kreditderivaten
by Krones, Julia & Cremers, Heinz
- 194 Performativity of economic systems: Approach and implications for taxonomy
by Herrmann-Pillath, Carsten
- 193 Moral sentiments, institutions, and civil society: Exploiting family resemblances between Smith and Hegel to resolve some conceptual issues in Sen's recent contributions to the theory of justice
by Boldyrev, Ivan A. & Herrmann-Pillath, Carsten
- 192 Validierung von Konzepten zur Messung des Marktrisikos: Insbesondere des Value at Risk und des Expected Shortfall
by Mehmke, Fabian & Cremers, Heinz & Packham, Natalie
- 191 Fixed income strategies for trading and for asset management
by Tinschert, Jonas & Cremers, Heinz
- 190 Roving bandits in action: Outside option and governmental predation in autocracies
by Libman, Alexander & Kozlov, Vladimir & Schultz, André
- 189 SOA development and service identification: A case study on method use, context and success factors
by Börner, René & Goeken, Matthias & Rabhi, Fethi
- 188 A note on macro-financial implications of mobile money schemes
by Mas, Ignacio & Klein, Michael
- 187 What are the channels for technology sourcing? Panel data evidence from German companies
by Harhoff, Dietmar & Mueller, Elisabeth & Van Reenen, John
- 186 Auctions that are too good to be true
by Decarolis, Francesco & Klein, Michael
- 185 Infrastructure policy: Basic design options
by Klein, Michael
- 184 Does cadre turnover help or hinder China's green rise? Evidence from Shanxi province
by Eaton, Sarah & Kostka, Genia
2011
- 183 Evaluating concepts for short-term control in financial service processes
by Behley, Dustin & Leyer, Michael
- 182 Naturalizing institutions: Evolutionary principles and application on the case of money
by Herrmann-Pillath, Carsten
- 181 Making sense of institutional change in China: The cultural dimension of economic growth and modernization
by Herrmann-Pillath, Carsten
- 180 Hayek 2.0: Grundlinien einer naturalistischen Theorie wirtschaftlicher Ordnungen
by Herrmann-Pillath, Carsten
- 179 Ratingverfahren: Diskriminanzanalyse versus Logistische Regression
by Braun, Daniel & Allgeier, Burkhard & Cremers, Heinz
- 178 Barriers to energy efficiency improvement: Empirical evidence from small-and-medium sized enterprises in China
by Kostka, Genia & Moslener, Ulf & Andreas, Jan G.
- 177 Understanding the high profitability of Chinese banks
by Löchel, Horst & Li, Helena Xiang
- 176 Neuroökonomik, Institutionen und verteilte Kognition: Empirische Grundlagen eines nicht-reduktionistischen naturalistischen Forschungsprogramms in den Wirtschaftswissenschaften
by Herrmann-Pillath, Carsten
- 175 History matters, but how? An example of Ottoman and Habsburg legacies and judicial performance in Romania
by Mendelski, Martin & Libman, Alexander
- 174 Environmental Protection Bureau leadership at the provincial level in China: Examining diverging career backgrounds and appointment patterns
by Kostka, Genia
- 173 Bedürfnisse von Existenzgründern in der Gründungsphase
by Durst, Susanne & Leyer, Michael
- 172 Enrichment with growth
by Klein, Michael
- 171 A spatial interpretation of the persistency of China's provincial inequality
by Yu, Xiaofan
- 170 Stand der Literatur zur operativen Steuerung von Dienstleistungsprozessen
by Leyer, Michael
- 169 Tax return as a political statement
by Libman, Alexander & Schultz, André & Graeber, Thomas
- 168 Energy service companies in China: The role of social networks and trust
by Kostka, Genia & Shin, Kyoung
- 167 Performing comparative advantage: The case of the global coffee business
by Andriani, Pierpaolo & Herrmann-Pillath, Carsten
- 166 Mobile banking and financial inclusion: The regulatory lessons
by Klein, Michael & Mayer, Colin
- 165 Modellierung von Zinsstrukturkurven
by Hewicker, Harald & Cremers, Heinz
- 164 The stability of traditional measures of index tracking quality
by Roßbach, Peter & Karlow, Denis
- 163 Are human rights and economic well-being substitutes? Evidence from migration patterns across the Indian states
by Libman, Alexander & Herrmann-Pillath, Carsten & Yadav, Gaurav
- 162 Transactional innovation and the de-commoditization of the Brazilian coffee trade
by Andriani, Pierpaolo & Herrmann-Pillath, Carsten
- 161 Incentivierung des Managements bei Unternehmenskäufen/Buy-Outs mit Private Equity Investoren - eine empirische Untersuchung
by Schalast, Christoph & Buxkaemper, Marius & Büchler, Christian & Wedel, Gregor
- 160 Revisiting the Gaia hypothesis: Maximum Entropy, Kauffman's 'Fourth Law' and physiosemeiosis
by Herrmann-Pillath, Carsten
- 159 A 'third culture' in economics? An essay on Smith, Confucius and the rise of China
by Herrmann-Pillath, Carsten
- 158 The innovative performance of China's national innovation system
by Boeing, Philipp & Sandner, Philipp
- 157 Institutions, distributed cognition and agency: rule-following as performative action
by Herrmann-Pillath, Carsten
2010
- 156 From boom to bust: how different has microfinance been from traditional banking?
by Wagner, Charlotte
- 155 Is it really different? Patterns of regionalisation in the post-Soviet Central Asia
by Libman, Alexander & Vinokurov, Evgeny
- 154 Subnational resource curse: do economic or political institutions matter?
by Libman, Alexander
- 153 Meaning and function in the theory of consumer choice: dual selves in evolving networks
by Herrmann-Pillath, Carsten
- 152 Embedded interests and the managerial local state: methanol fuel-switching in China
by Kostka, Genia & Hobbs, William
- 151 Energy efficiency in China: The local bundling of interests and policies
by Kostka, Genia & Hobbs, William
- 150 Europe integrates less than you think: Evidence from the market for corporate control in Europe and the US
by Umber, Marc P. & Grote, Michael H. & Frey, Rainer
- 149 Foreign banks and financial stability in emerging markets: Evidence from the global financial crisis
by Vogel, Ursula & Winkler, Adalbert
- 148 Words or deeds - what matters? Experience of recentralization in Russian security agencies
by Libman, Alexander
- 147 Chinese firms entering China's low-income market: Gaining competitive advantage by partnering governments
by Kostka, Genia & Zhou, Jianghua
- 146 Rethinking evolution, entropy and economics: A triadic conceptual framework for the maximum entropy principle as applied to the growth of knowledge
by Herrmann-Pillath, Carsten
- 145 Implied correlations of iTraxx tranches during the financial crisis
by Heidorn, Thomas & Kahlert, Dennis
- 144 M&A im Bereich Erneuerbarer Energien
by Fritz-Morgenthal, Sebastian G. & Hach, Sebastian T. & Schalast, Christoph
- 143 Determinanten von Banken-Spreads während der Finanzmarktkrise
by Heidorn, Thomas & Birkmeyer, Jörg & Rogalski, André
- 142 Are SMEs large firms en miniature? Evidence from a growth analysis
by Bannier, Christina E. & Metz, Sabrina
- 141 The value-added of investable hedge fund indices
by Heidorn, Thomas & Kaiser, Dieter G. & Voinea, Andre
- 140 The evolutionary approach to entropy: Reconciling Georgescu-Roegen's natural philosophy with the maximum entropy framework
by Herrmann-Pillath, Carsten
- 139 Funktionsweise und Replikationstil europäischer Exchange Traded Funds auf Aktienindices
by Heidorn, Thomas & Winker, Michael & Löw, Christian
- 138 Constitutions, regulations, and taxes: Contradictions of different aspects of decentralization
by Libman, Alexander
- 137 State and market integration in China: A spatial econometrics approach to 'local protectionism'
by Herrmann-Pillath, Carsten & Libman, Alexander & Xiaofan, Yu
- 136 Ratingmodell zur Quantifizierung des Ausfallrisikos von LBO-Finanzierungen
by Lang, Michael & Cremers, Heinz & Hentze, Rainald
- 135 When high-powered incentive contracts reduce performance: choking under pressure as a screening device
by Bannier, Christina E. & Feess, Eberhard
- 134 Entropy, function and evolution: naturalizing Peircian semiosis
by Herrmann-Pillath, Carsten
2009
- 133 Rating opaque borrowers: why are unsolicited ratings lower?
by Bannier, Christina E. & Behr, Patrick & Güttler, André
- 132 Social capital, Chinese style: individualism, relational collectivism and the cultural embeddedness of the institutions-performance link
by Herrmann-Pillath, Carsten
- 131 Market liquidity: an introduction for practitioners
by Schäffler, Christian & Schmaltz, Christian
- 130 Dimensionen des Wissens: ein kognitiv-evolutionärer Ansatz auf der Grundlage von F. A. von Hayeks Theorie der Sensory Order
by Herrmann-Pillath, Carsten
- 129 It's the market power, stupid! Stock return patterns in international bank M&A
by Hankir, Yassin & Rauch, Christian & Umber, Marc P.
- 128 Outline of a Darwinian theory of money
by Herrmann-Pillath, Carsten
- 127 Modellierung des Kreditrisikos im Portfoliofall
by Cremers, Heinz & Walzner, Jens
- 126 Modellierung des Kreditrisikos im Einwertpapierfall
by Cremers, Heinz & Walzner, Jens
- 125 Interne Transferpreise für Liquidität
by Heidorn, Thomas & Schmaltz, Christian
- 124 The economic function of credit rating agencies: what does the watchlist tell us?
by Bannier, Christina E. & Hirsch, Christian
- 123 A neurolinguistic approach to performativity in economics
by Herrmann-Pillath, Carsten
- 122 Finanzierungsstrukturen und makroökonomische Stabilität in den Ländern Südosteuropas, der Türkei und in den GUS-Staaten
by Winkler, Adalbert & Vogel, Ursula
- 121 Einführung in das Kapitalstrukturmanagement
by Böger, Andreas & Heidorn, Thomas & Rupprecht, Stephan
- 120 Die Rolle des Internets als Informationsbeschaffungsmedium in Banken
by Roßbach, Peter
- 119 Diversity Management und diversitätsbasiertes Controlling: von der Diversity Scorecard zur Open Balanced Scorecard
by Herrmann-Pillath, Carsten
- 117 Is there a hold-up benefit in heterogeneous multiple bank financing?
by Bannier, Christina E.
- 116 Ein eLearning-System zur Unterstützung der Wissensvermittlung von Web-Entwicklern in Sicherheitsthemen
by Roßbach, Peter & Gießamer, Dirk
- 115 Kulturelle Hybridisierung und Wirtschaftstransformation in China
by Herrmann-Pillath, Carsten
- 114 Staatsfonds - neue Akteure an den Finanzmärkten?
by Schalast, Christoph & Tiemann, Marcel & Tuppi, Pascal
- 113 Konstruktion einer Anleihe mit hypothekarischer Besicherung
by Alram, Johannes
- 112 Transaktionen und Servicing in der Finanzkrise: Berichte und Referate des Frankfurt School NPL Forums 2008
by Schalast, Christoph & Bolder, Markus & Radünz, Claus & Siepmann, Stephanie & Weber, Thorsten
- 111 Efficiency and profitability of European banks: how important is operational efficiency?
by Werner, Karl & Moormann, Jürgen
- 110 Moralische Gefühle als Grundlage einer wohlstandschaffenden Wettbewerbsordnung: ein neuer Ansatz zur Erforschung von Sozialkapital und seine Anwendung auf China
by Herrmann-Pillath, Carsten
- 109 Empirische Analyse der Drawdowns von Dach-Hedgefonds
by Heidorn, Thomas & Kaiser, Dieter G. & Roder, Christoph
2008
- 108 Neuroeconomics, naturalism and language
by Herrmann-Pillath, Carsten
- 107 Private Equity und Familienunternehmen: eine Untersuchung unter besonderer Berücksichtigung deutscher Maschinen- und Anlagenbauunternehmen
by Schalast, Christoph & Barten, Benita
- 106 Equity gap? - Which equity gap? On the financing structure of Germany's Mittelstand
by Bannier, Christina E. & Grote, Michael H.
- 105 The naturalistic turn in economics: implications for the theory of finance
by Herrmann-Pillath, Carsten
- 104 Aktionärsschutz in der AG falsch verstanden? Die Leica-Entscheidung des LG Frankfurt am Main
by Scholl, Wolfgang & Schanz, Kay-Michael
- 103 Die Auswirkungen der Subprime-Krise auf den deutschen LBO-Markt für Small- und MidCaps
by Bannier, Christina E. & Müsch, Stefan
- 102 Das IRB-Modell des Kreditrisikos im Vergleich zum Modell einer logarithmisch normalverteilten Verlustfunktion
by Vetter, Michael & Cremers, Heinz
- 101 Determinanten europäischer CMBS spreads: ein empirisches Modell zur Bestimmung der Risikoaufschläge von commercial mortgage-backed securities (CMBS)
by Heidorn, Thomas & Pleißner, Mathias
- 100 Schaeffler KG/ Continental AG im Lichte der CSX Corp.-Entscheidung des US District Court for the Southern District of New York: Meldepflichten bei öffentlichen Übernahmen und deren Umgehung durch Einsatz von derivativen Finanzinstrumenten
by Schanz, Kay-Michael
- 99 Analyse von Steueramnestiedaten
by Haug, Michael & Hölscher, Luise & Schweinberger, Andreas
- 98 The genesis of the Black-Scholes option pricing formula
by Heimer, Thomas & Arend, Sebastian
- 97 Access to finance and venture capital for industrial SMEs
by Heimer, Thomas & Hölscher, Luise & Werner, Matthias Ralf
- 96 Loss Given Default - Modelle zur Schätzung von Recovery Rates
by Böttger, Marc & Guthoff, Anja & Heidorn, Thomas
- 95 The dynamics of short- and long-term CDS-spreads of banks
by Almer, Thomas & Heidorn, Thomas & Schmaltz, Christian
- 94 Kulturunterschiede bei Mergers & Acquisitions: Entwicklung eines Konzeptes zur Durchführung einer Cultural Due Diligence
by Wollersheim, Jutta & Barthel, Erich
- 93 Liquiditätsmodellierung von Kreditzusagen (term facilities and revolver)
by Heidorn, Thomas & Schmaltz, Christian & Kunze, Wolfgang
- 92 Produktivität und Effizienz in Banken: Terminologie, Methoden und Status quo
by Burger, Andreas
- 91 The strategic value of investments in Chinese banks by foreign financial institutions
by Löchel, Horst & Pecher, Florian
- 90 Der deutsche NPL-Markt 2007: aktuelle Entwicklungen, Verkauf und Bewertung ; Berichte und Referate des NPL-Forums 2007
by Schalast, Christoph
- 89 10 Jahre deutsche Buyouts
by Schalast, Christoph & Stralkowski, Ingo
2007
- 88 The economics of rating watchlists: evidence from rating changes
by Hirsch, Christian & Bannier, Christina E.
- 87 Gold in the investment portfolio
by Demidova-Menzel, Nadeshda & Heidorn, Thomas
- 86 Leistungsmessung der Internen Revision
by Hölscher, Luise & Rosenthal, Johannes
- 85 Determinants of banks' engagement in loan securitization
by Bannier, Christina E. & Hänsel, Dennis N.
- 84 Smoothing versus timeliness - wann sind stabile Ratings optimal und welche Anforderungen sind an optimale Berichtsregeln zu stellen?
by Bannier, Christina E.
- 83 Heterogeneous multiple bank financing: does it reduce inefficient credit-renegotation incidences?
by Bannier, Christina E.
- 82 Deskription und Bewertung strukturierter Produkte unter besonderer Berücksichtigung verschiedener Marktszenarien
by Löhr, Andreas & Cremers, Heinz
- 81 Commodities in asset management
by Demidova-Menzel, Nadeshda & Heidorn, Thomas
- 80 Risikosteuerung mit Kreditderivaten unter besonderer Berücksichtigung von Credit Default Swaps
by Cremers, Heinz & Walzner, Jens
- 79 Handlungsalternativen einer Genossenschaftsbank im Investmentprozess unter Berücksichtigung der Risikotragfähigkeit
by Traughber, Patrick & Cremers, Heinz
- 78 Monetary analysis: a VAR perspective
by Gerdesmeier, Dieter & Roffia, Barbara
- 77 Portfoliooptimierung mit Hedgefonds unter Berücksichtigung höherer Momente der Verteilung
by Heidorn, Thomas & Kaiser, Dieter G. & Muschiol, Andrea
2006
- 76 Work-out und Servicing von notleidenden Krediten: Berichte und Referate des HfB-NPL Servicing Forums 2006
by Schalast, Christoph & Ockens, Klaas & Jobe, Clemens J. & Safran, Robert
- 75 Fusionskontrolle in dynamischen Netzsektoren am Beispiel des Breitbandkabelsektors: zugleich ein kritischer Beitrag zur Kartellrechtsdogmatik des Bundeskartellamts nach Iesy/Ish und TC/Ish und sektorspezifischen Regulierungskonsistenz seitens der Bundesnetzagentur
by Abrar, Kamyar
- 74 Wertpapierprospekte: Markteinführungspublizität nach EU-Prospektverordnung und Wertpapierprospektgesetz 2005
by Schanz, Kay-Michael & Schalast, Christoph
- 73 Distressed debt in Germany: What's next? Possible innovative exit strategies
by Dickler, Robert A. & Schalast, Christoph
- 72 How the ECB and US Fed set interest rates
by Belke, Ansgar & Polleit, Thorsten
- 71 Heterogenität von Hedgefondsindizes
by Heidorn, Thomas & Hoppe, Christian & Kaiser, Dieter G.
- 70 The endogeneity approach of the theory of optimum currency areas: what does it mean for ASEAN + 3?
by Löchel, Horst & Baumann, Stefan
2005
- 69 Niederschlagsderivate
by Heidorn, Thomas & Trautmann, Alexandra
- 68 Möglichkeiten der Strukturierung von Hedgefondsportfolios
by Heidorn, Thomas & Hoppe, Christian & Kaiser, Dieter G.
- 67 Kapitalerhaltung bei Anwendung der erfolgsneutralen Stichtagskursmethode zur Währungsumrechnung
by Weber, Christoph
- 66 Distressed debt-investing in Deutschland: Geschäftsmodelle und Perspektiven
by Schalast, Christoph & Daynes, Christian
- 65 Measures of excess liquidity
by Polleit, Thorsten & Gerdesmeier, Dieter
- 64 Financing the embedded value of life insurance portfolios
by Hölscher, Luise & Harding, Perham & Becker, Gernot M.
- 63 Modernisierung der Wasserwirtschaft im Spannungsfeld von Umweltschutz und Wettbewerb: braucht Deutschland eine Rechtsgrundlage für die Vergabe von Wasserversorgungskonzessionen?
by Schalast, Christoph
- 62 Wertsicherungsstrategien für das Asset Management
by Kluß, Norbert & Bayer, Marcus & Cremers, Heinz
- 61 A case for money in the ECB monetary policy strategy
by Löchel, Horst & Polleit, Thorsten
2004
- 60 Unternehmen im Prime Standard staying public oder going private? Nutzenanalyse der Börsennotiz
by Schanz, Kay-Michael & Richard, Jörg & Schalast, Christoph
- 59 Early warning systems of financial crises: implementation of a currency crisis model for Uganda
by Heun, Michael & Schlink, Torsten
- 58 Auswirkungen des Basel II Akkords auf österreichisches KMU
by Heimer, Thomas & Köhler, Thomas
- 57 Performance-Effekte nach Directors' Dealings in Deutschland, Italien und den Niederlanden
by Heidorn, Thomas & Meyer, Bernd & Pietrowiak, Alexander
- 56 The relevance of real-time data in estimating reaction functions for the Euro area
by Gerdesmeier, Dieter & Roffia, Barbara
- 55 Human capital in Unternehmen: unterschiedliche Ansätze zur Messung des Humankapitals
by Barthel, Erich & Gierig, Rauno & Kühn, Ilmhart-Wolfram
- 54 Aktuelle Fragen des Bank- und Kapitalmarktrechts I: Non-Performing-Loans/Faule Kredite - Handel, Work-Out, Outsourcing und Securitisation
by Anders, Dietmar & Binder, Andreas & Hesdahl, Ralf & Schalast, Christoph & Thöne, Thomas
- 53 The slowdown in German bank lending - revisited
by Polleit, Thorsten
- 52 Die Anwendbarkeit der Behavioral Finance im Devisenmarkt
by Heidorn, Thomas & Siragusano, Tindaro
- 51 Wider die Verschleuderung von Unternehmen durch Pfandversteigerung
by Schütze, Daniel
- 50 Investitionen und Emissionen von Convertible Bonds (Wandelanleihen)
by Heidorn, Thomas & Gerhold, Mirko
2003
- 49 Temperaturderivate zur strategischen Absicherung von Beschaffungs- und Absatzrisiken
by Chevalier, Pierre & Heidorn, Thomas & Krieger, Christian
- 48 Internationale Cash Flow-Rechnungen aus Eigner- und Gläubigersicht
by Becker, Gernot M. & Seeger, Norbert
- 47 Notes on convexity and quanto adjustments for interest rates and related options
by Boenkost, Wolfram & Schmidt, Wolfgang M.
- 46 Determinants of the relative price impact of unanticipated information in US macroeconomic releases
by Hess, Dieter E.
- 45 Incentive Fees: erfolgsabhängige Vergütungsmodelle deutscher Publikumsfonds
by Kluß, Norbert & König, Markus & Cremers, Heinz
- 44 Investitionen in Collateralized Debt Obligations
by Heidorn, Thomas & König, Lars
- 43 Bilanzierung von Unternehmenszusammenschlüssen nach US-GAAP
by Kahlert, Holger & Seeger, Norbert
- 42 Rechnungslegung im Umbruch - HGB Bilanzierung im Wettbewerb mit den internationalen Standards nach IAS und US-GAAP: theoretischer Vergleich und praktische Analyse am Beispiel der SGL Carbon AG, Wiesbaden im Rahmen der Theorie-Praxis-Brücke im vierten Fachsemester
by Bannier, Stephan & Seeger, Norbert
- 41 Modeling default dependence with threshold models
by Overbeck, Ludger & Schmidt, Wolfgang M.
- 40 Portfoliooptimierung mit Hedge Fonds unter besonderer Berücksichtigung der Risikokomponente
by Balthasar, Daniel & Cremers, Heinz & Schmidt, Michael
- 38 Bilanzierung von Finanzderivaten nach HGB, EStG, IAS und US-GAAP
by Böttcher, Henner & Seeger, Norbert
2002
2001