Suche im EconStor Index

Filter hinzufügen:

Benutzen Sie Filter um Ihre Ergebnisse zu verfeinern.


Ergebnisse 21-30 von 67.
ErscheinungsjahrTitelAutor:innen
2022Dynamics in complex systems amidst crisis 2008+: Financial regulatory and supervisory reflections
In: Band: 10, 2022, Heft: 2, S. 1-15
Łasak, Piotr; Wyciślak, Sławomir
2022Special-rate life annuities: Analysis of portfolio risk profiles
In: Band: 10, 2022, Heft: 3, S. 1-22
Pitacco, Ermanno; Tabakova, Daniela Y.
2022Determining financial uncertainty through the dynamics of Sukuk bonds and prices in emerging market indices
In: Band: 10, 2022, Heft: 3, S. 1-13
Sial, Muhammad Safdar; Cherian, Jacob; Meero, Abdelrhman Ahmad; Salman, Asma; Rahman, Abdul Aziz Abdul; Samad, Sarminah; Negrut, Constantin Viorel
2022Optimal asset allocation subject to withdrawal risk and solvency constraints
In: Band: 10, 2022, Heft: 1, S. 1-28
Cousin, Areski; Jiao, Ying; Robert, Christian Yann; Zerbib, Olivier David
2022Special issue "computational finance and risk analysis in insurance"
In: Band: 10, 2022, Heft: 3, S. 1-2
Korn, Ralf
2022The risks of smart cities and the perspectives of their management based on corporate social responsibility in the interests of sustainable development
In: Band: 10, 2022, Heft: 2, S. 1-16
Morozova, Irina A.; Yatsechko, Stanislav S.
2022Financial innovation of mass destruction: The story of a countrywide FX options debacle
In: Band: 10, 2022, Heft: 2, S. 1-17
Sławik, Anna; Bohatkiewicz-Czaicka, Joanna
2022The impact of robotification on the financial situation of microenterprises: Evidence from the financial services sector in Poland
In: Band: 10, 2022, Heft: 2, S. 1-20
Cieślukowski, Maciej; Garsztka, Przemysław; Zyznarska-Dworczak, Beata
2022On the diversification of fixed income assets
In: Band: 10, 2022, Heft: 2, S. 1-21
Le Courtois, Olivier
2022Measurement of systemic risk in the Colombian banking sector
In: Band: 10, 2022, Heft: 1, S. 1-27
Rivera-Escobar, Orlando; Escobar, John Willmer; Manotas, Diego Fernando