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risikomass
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Results for »
risikomass
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Risikomaße. Untersuchung des Entropic Value-at-Risk und Analyse von Sicherheitsäquivalenten
Autor:in:
Daniel Kircher (Author)
Subject:
Mathematics - Miscellaneous
Category:
Diploma Thesis , 2013 , Grade: 1,1
Price:
US$ 39.99
Empirische Analyse ausgewählter Value-at-Risk Ansätze zur Abschätzung des Marktpreisrisikos
Autor:in:
Daniel Wagenknecht (Author)
Subject:
Business economics - Investment and Finance
Category:
Master's Thesis , 2012 , Grade: 1,7
Price:
US$ 36.99
Value-at-Risk und Expected Shortfall zur Quantifizierung von Zinsrisiken
Ein exemplarischer Vergleich auf Basis der historischen Simulation
Autor:in:
Stephan Mett (Author)
Subject:
Business economics - Investment and Finance
Category:
Bachelor Thesis , 2019 , Grade: 2,0
Price:
US$ 31.99
Ermittlung von Risikobeiträgen in Kreditportfolios mit dem erweiterten Vasicek-Modell
Autor:in:
Franco Monaco (Author)
Subject:
Business economics - Controlling
Category:
Master's Thesis , 2012
Price:
US$ 31.99
Value at Risk. Konzept zur Messung von Risiken
Autor:in:
Christian Pohanka (Author)
Subject:
Business economics - Controlling
Category:
Seminar Paper , 2008 , Grade: 2
Price:
US$ 18.99
Risikomaße und Kohärenzeigenschaften
Autor:in:
Jan Ajster (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,3
Price:
US$ 18.99
Finanzwirtschaftliche Risikomaße
Autor:in:
Kathleen Beutner (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2005 , Grade: 1,7
Price:
US$ 17.99
Risikomaße und Kohärenzeigenschaften
Autor:in:
Jan Ajster (Author)
Subject:
Business economics - Investment and Finance
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,3
Price:
US$ 17.99
Risikomaße und Risikomessung im Kreditgeschäft
Eine entscheidungstheoretische Analyse
Autor:in:
Matthias Bohn (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2010 , Grade: 2,7
Price:
US$ 31.99
Covered Short Call Strategie
Vergleich zwischen Covered Short Call Strategie und Sparplan, Risikomaße und Upside Potentiale, Sensitivitätsanalyse des Covered Short Calls
Autor:in:
Anonym (Author)
Subject:
Business economics - Investment and Finance
Category:
Term Paper , 2020 , Grade: 1,3
Price:
US$ 16.99
Risk Measurement
Autor:in:
Christian Finck (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2006 , Grade: 1,3
Price:
US$ 17.99
Value-at-Risk and beyond. Analyse moderner Ansätze der Risikomessung im regulatorischen Umfeld
Autor:in:
Simon Schweihoff (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2015 , Grade: 1,7
Price:
US$ 39.99
Statistische Schätzung des Value-at-Risk zur Marktrisikoquantifizierung
Autor:in:
Sibylle Weiss (Author)
Subject:
Mathematics - Statistics
Category:
Seminar Paper , 2014 , Grade: 2,0
Price:
US$ 14.99
Hedgefonds im Portfoliokontext
Autor:in:
Sebastian Richter (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2008 , Grade: 1,3
Price:
US$ 19.99
Konzept und Berechnungsverfahren des „Value at Risk“
Autor:in:
Diplom-Kaufmann Benedikt Niemann (Author)
Subject:
Business economics - Controlling
Category:
Academic Paper , 2006 , Grade: 1,0
Price:
US$ 18.99
Inkonsistenzen im mathematischen Formelwerk in Solvency 2
Autor:in:
Jens Splettstößer (Author)
Subject:
Mathematics - Miscellaneous
Category:
Diploma Thesis , 2013 , Grade: 1,3
Price:
US$ 31.99
Cash Flow at Risk-Verfahren für das Risikomanagement
Autor:in:
Diplom-Kaufmann Benedikt Niemann (Author)
Subject:
Business economics - Controlling
Category:
Diploma Thesis , 2006 , Grade: 1,0
Price:
US$ 39.99
Messung von Kreditrisiken. Eine entscheidungstheoretische Analyse
Autor:in:
Rabea Hacker (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2013 , Grade: 3,0
Price:
US$ 16.99
Risikosteuerung mit Value at Risk und Cashflow at Risk
Autor:in:
Dipl. Math. Katharina Scharfen (Author)
Subject:
Business economics - Controlling
Category:
Seminar Paper , 2009 , Grade: 1,7
Price:
US$ 20.99
Messung von Marktrisiken mithilfe der Extremwerttheorie. Eine kritische Würdigung
Autor:in:
Erika Wießner (Author)
Subject:
Business economics - Market research
Category:
Seminar Paper , 2020 , Grade: 1,3
Price:
US$ 16.99
Konzept und Berechnungsverfahren des „Cash Flow at Risk“
Autor:in:
Diplom-Kaufmann Benedikt Niemann (Author)
Subject:
Business economics - Controlling
Category:
Academic Paper , 2006 , Grade: 1,0
Price:
US$ 32.99
Performance-Messung von Aktienportfolios. Eine theoretische und praktische Analyse
Autor:in:
Julian Schüppert (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2008 , Grade: 2,3
Price:
US$ 31.99
Ökonomische Bedeutung und Charakteristika von "Emerging Markets"
Eine kritische Beurteilung
Autor:in:
Michael Hies (Author)
Subject:
Business economics - Investment and Finance
Category:
Swiss Diploma Thesis , 1992 , Grade: 1,5
Price:
US$ 5.99
Managed Futures im Portfoliomanagement
Autor:in:
Reinhard König (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Diploma Thesis , 2014 , Grade: 2,3
Price:
US$ 31.99
Goodness-of-fit-Tests für Copula-Funktionen. Der Einfluss von Autokorrelation und GARCH-Effekten
Autor:in:
Anonym (Author)
Subject:
Business economics - Investment and Finance
Category:
Diploma Thesis , 2010 , Grade: 1,0
Price:
US$ 38.99
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