Browsing All of EconStor by Author Schröder, Michael

Jump to a point in the index:
Showing results 1 to 20 of 56
 next >
Year of PublicationTitleAuthor(s)
1996 Value at risk: proposals on a generalizationSchröder, Michael
1996 Möglichkeiten und Maßnahmen zur Wahrung und Steigerung der Wettbewerbsfähigkeit der Baden-Württembergischen Wertpapierbörse zu StuttgartSchröder, Michael; Heinemann, Friedrich; Kölbl, Kathrin; Rasch, Sebastian; Steiger, Max; Westernheide, Peter
1996 Risikomessung mit Shortfall-Maßen: Das Programm MAMBA - Metzler Asset Management Benchmark AnalyserKorn, Olaf; Schröder, Michael; Szczesny, Andrea; Winschel, Viktor
1999 What's on their mind: do exchange rate forecasters stick to theoretical models?Schröder, Michael; Dornau, Robert
2000 Investment opportunities in Central and Eastern European equity markets: an econometric examination of the risk-return relationships for western investorsSchröder, Michael
2000 Do Forecasters use Monetary Models? An Empirical Analysis of Exchange Rate ExpectationsSchröder, Michael; Dornau, Robert
2001 Unternehmens- versus Analystenbefragungen: Zum Prognosegehalt von ifo-Geschäftserwartungen und ZEW-KonjunkturerwartungenHüfner, Felix P.; Schröder, Michael
2002 The future of Eastern European capital marketsKöke, Jens; Schröder, Michael
2002 Exchange rate pass-through to consumer prices: a European perspectiveSchröder, Michael; Hüfner, Felix P.
2002 The Prospects of Capital Markets in Central and Eastern EuropeSchröder, Michael; Köke, Jens
2002 Forecasting economic activity in Germany: how useful are sentiment indicators?Schröder, Michael; Hüfner, Felix P.
2002 Der Einfluss ökologischer und sozialer Nachhaltigkeit auf den Shareholder Value europäischer AktiengesellschaftenSchröder, Michael; Rennings, Klaus; Ziegler, Andreas
2003 Towards a single European market in asset managementHeinemann, Friedrich; Schröder, Michael; Schüler, Martin; Stirböck, Claudia; Westerheide, Peter
2003 Systemic Risk in European Banking: Evidence from Bivariate GARCH ModelsSchüler, Martin; Schröder, Michael
2003 Socially Responsible Investments in Germany, Switzerland and the United States: An Analysis of Investment Funds and IndicesSchröder, Michael
2003 Multifaktormodelle zur Erklärung deutscher Aktienrenditen: eine empirische AnalyseStehle, Richard; Schulz, Anja; Schröder, Michael; Eberts, Elke; Ziegler, Andreas
2004 Modeling Asset Returns: A Comparison of Theoretical and Empirical ModelsLüders, Erik; Schröder, Michael
2004 Kapitalmärkte und Demographie: Eine Umfrage unter FinanzmarktexpertenSchröder, Michael; Schüler, Martin
2004 The Power Law and Dividend YieldsLüders, Erik; Lüders-Amann, Inge; Schröder, Michael
2004 GPD-linked Bonds as a Financing Tool for Developing Countries and Emerging MarketsSchröder, Michael; Heinemann, Friedrich; Kruse, Susanne; Meitner, Matthias