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return on risk adjusted assets
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Results for »
return on risk adjusted assets
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Risk-Adjusted Return on Capital as a Concept in Value-Based Logistics Management
Autor:in:
Angelina Freshta Farzam (Author)
Subject:
Business economics - Supply, Production, Logistics
Category:
Term Paper , 2007 , Grade: 1.7
Price:
US$ 18.99
Ermittlung der risikobereinigten Performance
Funktion und Anwendung risikoadjustierter Performancekennzahlen in der Bankensteuerung
Autor:in:
Thomas Eble (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2009 , Grade: 1,3
Price:
US$ 18.99
Capital structure and assets risk
Some evidence from the Euro Area
Autor:in:
PhD Marco Botta (Author)
Subject:
Economics - Finance
Category:
Doctoral Thesis / Dissertation , 2007 , Grade: NA
Price:
US$ 46.99
Portfolio Management. Return and risk evaluation
Autor:in:
Md Kamrul Islam (Author)
Subject:
Economics - Finance
Category:
Term Paper , 2015 , Grade: 2.1
Price:
US$ 19.99
The Performance of Hedge Funds: Risk, Return, and Incentives
Autor:in:
Patrick Vogel (Author)
Subject:
Business economics - General
Category:
Seminar Paper , 2007 , Grade: 1,3
Price:
US$ 19.99
Higher corporate sustainability improves the market and risk-adjusted performance of companies
Autor:in:
Peter Reber (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Master's Thesis , 2013 , Grade: GPA 3.7
Price:
US$ 21.99
Reducing the variation of credit risk-weighted assets
The proposal of the Basel Committee on a new framework for internal model approaches
Autor:in:
Anonym (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2017 , Grade: 1,3
Price:
US$ 18.99
Beta and Duration as Measurements of Future Risk and Returns
Autor:in:
Christoph Schubert (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Term Paper , 2014 , Grade: 1,0
Price:
US$ 18.99
The most reliable approach to measure Value at Risk adjusted for market liquidity
Autor:in:
Cornelia Ernst (Author)
Subject:
Business economics - Investment and Finance
Category:
Master's Thesis , 2009 , Grade: 1.0
Price:
US$ 42.99
What causes Momentum Returns? Evidence from different Asset Classes
Autor:in:
Fabian Hertel (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2021 , Grade: 2,0
Price:
US$ 19.99
Factor models on explaining firm’s returns in a credit risk context
Is the usual one-factor model good enough?
Autor:in:
Master of Arts UZH Stefan Heini (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2012 , Grade: 1
Price:
US$ 19.99
The relationship between market liquidity and firm liquidity. Acharya & Pedersen’s Liquidity-adjusted Capital Asset Pricing Model
Autor:in:
Thrainn Halldorsson (Author)
Subject:
Business economics - Investment and Finance
Category:
Master's Thesis , 2017 , Grade: 12
Price:
US$ 0.99
Reliability Centered Maintenance. Reliability Engineering and Asset Risk Management
Autor:in:
Salisu Alhassan (Author)
Subject:
Engineering - Metal Engineering, Metal Processing, Metal Structure
Category:
Research Paper (undergraduate) , 2017
Price:
US$ 16.99
Vor- und Nachteile des Return on Marketing Investment
Autor:in:
Mehmet Sarialtin (Author)
Subject:
Business economics - Controlling
Category:
Seminar Paper , 2014 , Grade: 2,0
Price:
US$ 19.99
"Return On"-Kennzahlen. Beschreibung, Berechnung sowie Eignung zur Unternehmenssteuerung
Autor:in:
Anonym (Author)
Subject:
Business economics - Controlling
Category:
Bachelor Thesis , 2019 , Grade: 1,7
Price:
US$ 32.99
Stochastische Programmierungsmodelle
Value-at-Risk, Conditional Value-at-Risk und Asset-Liability-Management
Autor:in:
Irene Filipiak (Author)
Subject:
Mathematics - Stochastics
Category:
Seminar Paper , 2009 , Grade: 2,3
Price:
US$ 16.99
Portfoliooptimierung in der strategischen Asset-Allocation. Konzeption eines Risk-Parity-Portfolios im Multi-Asset-Portfoliomanagement
Autor:in:
Benjamin Schliebener (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2018 , Grade: 1.4
Price:
US$ 34.99
Common risk factors in the German stock market
Are returns predictable?
Autor:in:
Daniel Bathe (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2007 , Grade: 1,3
Price:
US$ 34.99
Overconfidence and its Influence on Risk
Autor:in:
Christopher Knoll (Author)
Subject:
Psychology - Industrial and organizational psychology
Category:
Seminar Paper , 2016 , Grade: 1.7
Price:
US$ 16.99
Capital Asset Prices: A Theory of Market Equilibrium under the Conditions of Risk
Autor:in:
Thomas Hayer (Author)
Subject:
Business economics - Investment and Finance
Category:
Term Paper , 2004 , Grade: 1,3
Price:
US$ 18.99
Stock Return Predictability
Autor:in:
Arthur Ritter (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (postgraduate) , 2015 , Grade: 17 (1,3)
Price:
US$ 18.99
Transformation of conventional Banking. Opportunities and risks of Fintech companies in Asset Management
Robo Advisors vs. Banks
Autor:in:
Gleb Romanchuk (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Master's Thesis , 2019 , Grade: 1,3
Price:
US$ 34.99
Risk Management on Water and Sanitation
Autor:in:
Erick Otieno (Author)
,
Dr. Freida Mutui (Author)
,
Michael Okuku (Author)
Subject:
Health - Public Health
Category:
Academic Paper , 2018
Price:
US$ 0.99
Adjusted Present Value vs. WACC
Autor:in:
Sonja Gries (Author)
Subject:
Business economics - Operations Research
Category:
Seminar Paper , 2012 , Grade: 1,3
Price:
US$ 19.99
Survey on Cloud Computing Security Risk Assessment
Autor:in:
Ishraga khogali (Author)
Subject:
Computer Science - General
Category:
Essay , 2015
Price:
US$ 6.99
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