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Open Access
Year
-
Financial Return Risk and the Effect on Shareholder Wealth
How M&A Announcements and Banking Crisis Events Affect Stock Mean Returns and Stock Return Risk- A Compendium of Five Empirical Studies across Selective Industries©2012 Thesis -
E-Mobility and Related Clean Technologies from an Empirical Corporate Finance Perspective
State of Economic Research, Sourcing Risks, and Capital Market Perception©2015 Thesis -
Bank Governance Structures and Risk Taking
©2016 Thesis -
Risk Classification by Means of Clustering
©2010 Thesis -
Political Risk and the Institutional Environment for Foreign Direct Investment in Latin America
An Empirical Analysis with a Case Study on Mexico©2005 Thesis -
The (Near) Future of Central Bank Digital Currencies
Risks and Opportunities for the Global Economy and Society©2021 Edited Collection -
Black Theology and Youths at Risk
©2001 Monographs -
Value-at-Risk-Modelle für Aktienportfolios auf der Basis der Varianz-Kovarianz-Methode
Ein Vergleich vereinfachender Verfahren und Konzepte zur Einbeziehung impliziter Volatilitäten©2002 Thesis -
Mean Risk-Effizienz versus Stochastische Effizienz
Risikoaversion, Risikofreude und wechselnde Risikoeinstellung©2003 Thesis -
The Economics of Rural Health Insurance
The Effects of Formal and Informal Risk-Sharing Schemes in Ghana©2004 Thesis