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Results (61–80 out of 365)
Stock Market Growth Expectations, Risk Perceptions, and Ex-Ante Returns Under Uncertain Stagflation
Credit and Capital Markets – Kredit und Kapital, Vol. 20 (1987), Iss. 3 : pp. 335–357
Capital Controls, Exchange Rate Volatility, and the Risk Premium
Journal of Contextual Economics – Schmollers Jahrbuch, Vol. 124 (2004), Iss. 3 : pp. 371–386
The Risk Consolidation of the Insurance Industry from a Financial Perspective
Journal of Contextual Economics – Schmollers Jahrbuch, Vol. 116 (1996), Iss. 3 : pp. 359–378
Risikomanagement bei Startups
ZfKE – Zeitschrift für KMU und Entrepreneurship, Vol. 70 (2022), Iss. 3–4 : pp. 243–252
Reforming the Regulatory Treatment of Sovereign Exposures in Banking Regulation
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 1 : pp. 81–122
Unerwartete Unternehmensinsolvenz trotz testiertem Risikomanagement? – Lessons Learned aus der Insolvenz der Gerry Weber International AG
Der Betriebswirt, Vol. 61 (2020), Iss. 3 : pp. 139–154
Determinants of Bank Asset Quality and Profitability: An Empirical Assessment
Applied Economics Quarterly, Vol. 63 (2017), Iss. 1 : pp. 97–135
Central Bank Policies and Climate Change. Where Do We Stand?
Credit and Capital Markets – Kredit und Kapital, Vol. 55 (2022), Iss. 3 : pp. 381–411
The potential contribution of central banks to green finance
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 88 (2019), Iss. 2 : pp. 55–71
Leverage Ratios for Different Bank Business Models
Credit and Capital Markets – Kredit und Kapital, Vol. 50 (2017), Iss. 4 : pp. 545–573
Systemic Usury and the European Consumer Credit Directive
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 89 (2020), Iss. 1 : pp. 115–132
Revisiting Equity Premium Puzzles in a Data-Rich Environment
Applied Economics Quarterly, Vol. 65 (2019), Iss. 4 : pp. 257–275
Performance of Bond Ladder Strategies: Evidence from a Period of Low Interest Rates
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 3 : pp. 421–443
Globale Finanzmarktregulierung und Verbraucherschutz
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 82 (2013), Iss. 4 : pp. 45–56
Towards Deeper Financial Integration in Europe: What the Banking Union Can Contribute
Credit and Capital Markets – Kredit und Kapital, Vol. 48 (2015), Iss. 1 : pp. 11–49
Naturgefahren und Klimawandel: Die Rolle der Versicherungswirtschaft
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 77 (2008), Iss. 4 : pp. 110–115
Social Stratification, Living Conditions and the White Male Effect in Sweden
Sozialer Fortschritt, Vol. 60 (2011), Iss. 3 : pp. 63–68
Schätzung des Risikos der Bevölkerung durch Terroranschläge als Ergänzung für sicherheitsökonomische Betrachtungen
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 78 (2009), Iss. 4 : pp. 101–118
Should Governments Subsidize Agricultural Insurances?
Applied Economics Quarterly, Vol. 61 (2015), Iss. 1 : pp. 65–92