Browsen in EconStor gesamt nach Autor:innen Breuer, Wolfgang


Zeige Ergebnisse 1 bis 14 von 14
ErscheinungsjahrTitelAutor:innen
1999The relevance of primary dealers for public bond issuesBreuer, Wolfgang
2002Performance evaluation, portfolio selection, and HARA utilityBreuer, Wolfgang; Gürtler, Marc
2004Two-Fund separation and positive marginal utilityBreuer, Wolfgang; Gürtler, Marc
2004Investors' direct stock holdings and performance evaluation for mutual fundsBreuer, Wolfgang; Gürtler, Marc
2005Kimball's prudence and two-fund separation as determinants of mutual fund performance evaluationBreuer, Wolfgang; Gürtler, Marc
2006Coherent banking capital and optimal credit portfolio structureBreuer, Wolfgang; Gürtler, Marc
2007Analysts' dividend forecasts, portfolio selection, and market risk premiaBreuer, Wolfgang; Feilke, Franziska; Gürtler, Marc
2010Implied rates of return, the discount rate effect, and market risk premiaBreuer, Wolfgang; Gürtler, Marc
2020Recent trends in real estate research: a comparison of recent working papers and publications using machine learning algorithmsBreuer, Wolfgang; Steininger, Bertram I.
2021Measuring risk‐taking and patience in financial decision makingBreuer, Wolfgang; Renerken, Thomas; Salzmann, Astrid Juliane
2021EditorialFandel, Günter; Breuer, Wolfgang
2021Some key developments in international financial managementBreuer, Wolfgang; Ruiz de Vargas, Santiago
2022The impact of CEO power and institutional discretion on CSR investmentBreuer, Wolfgang; Hass, Manuel; Rosenbach, David Johannes
2023Trust rhetoric and CEO genderBreuer, Wolfgang; Knetsch, Andreas; Salzmann, Astrid Juliane