|
|
EconStor >
Search Results
Results 261-270 of 375.
Item hits:
| Date | Title |
Authors |
| 2012 | Basel III and CEO compensation: a new regulation attempt after the crisis | Eufinger, Christian / Gill, Andrej |
| 2012 | How smart are investors after the subprime mortgage crisis? Evidence from the securitization market | Gürtler, Marc / Hibbeln, Martin |
| 2005 | Das Qualitätsmanagement und Ratingindikatoren von SDAX Unternehmen | Gürtler, Marc / Schunck, Stefan |
| 2006 | Value at risk, Equity and Diversification | Broll, Udo / Wahl, Jack E. |
| 2006 | Bankmanagement mit Value at Risk | Broll, Udo / Wahl, Jack E. |
| 2012 | The impact of network inhomogeneities on contagion and system stability | Hübsch, Arnd / Walther, Ursula |
| 2003 | Distribution-Invariant Dynamic Risk Measures | Weber, Stefan |
| 2009 | Consolidation in banking and financial stability in Europe: empirical evidence | Uhde, André / Heimeshoff, Ulrich |
| 2013 | Register, cap and trade: A proposal for containing systemic liquidy risk | Milne, Alistair |
| 2009 | Addressing the psychology of financial markets | Tuckett, David |
Back
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
Next
|