|
|
EconStor >
Search Results
Results 131-140 of 221.
Item hits:
| Date | Title |
Authors |
| 2012 | How smart are investors after the subprime mortgage crisis? Evidence from the securitization market | Gürtler, Marc / Hibbeln, Martin |
| 2012 | Taking firms to the stock market: IPOs and the importance of large banks in Imperial Germany 1896 - 1913 | Lehmann, Sibylle H. |
| 2009 | Intermediation and matching in insurance markets | Focht, Uwe / Richter, Andreas / Schiller, Jörg |
| 2009 | Credit dynamics in a first passage time model with jumps | Packham, Natalie / Schlögl, Lutz / Schmidt, Wolfgang M. |
| 2009 | Credit gap risk in a first passage time model with jumps | Packham, Natalie / Schlögl, Lutz / Schmidt, Wolfgang M. |
| 2012 | Fund managers - Why the best might be the worst: On the evolutionary vigor of risk-seeking behavior | Witte, Björn-Christopher |
| 2012 | Eine Analyse des Credit Spreads und seiner Komponenten als Grundlage für Hedge Strategien mit Kreditderivaten | Krones, Julia / Cremers, Heinz |
| 2003 | Investitionen in Collateralized Debt Obligations | Heidorn, Thomas / König, Lars |
| 2004 | Unternehmen im Prime Standard staying public oder going private? Nutzenanalyse der Börsennotiz | Schanz, Kay-Michael / Richard, Jörg / Schalast, Christoph |
| 2005 | Möglichkeiten der Strukturierung von Hedgefondsportfolios | Heidorn, Thomas / Hoppe, Christian / Kaiser, Dieter G. |
Back
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
Next
|