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  1. 1

    Handbook of experimental finance

    Edward Elgar Publishing 2022

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    Edited Volume Online Resource
  2. 2

    Handbook of experimental finance

    Edward Elgar Publishing [2022]

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    Book/Monograph
  3. 3

    Optimal portfolio allocation of commodity related assets using a controlled forward-backward algorithm by Ludwig, Stephan Ernst (Author)

    2013

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    Book/Monograph Thesis
  4. 4

    Optimal portfolio allocation of commodity related assets using a controlled forward-backward algorithm by Ludwig, Stephan Ernst (Author)

    2013

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    Book/Monograph Thesis Online Resource
  5. 5

    Treatment of double default effects within the granularity adjustment for Basel II by Ebert, Sebastian (Author) , Lütkebohmert, Eva (Author) ,


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    Article (Journal)
  6. 6

    Higher order risk attitudes, demographics, and financial decisions by Noussair, Charles (Author) , Trautmann, Stefan T. (Author) , Kuilen, Gijs van de (Author) ,


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    Book/Monograph Working Paper Online Resource
  7. 7

    Treatment of double default effects within the granularity adjustment for Basel II by Ebert, Sebastian (Author) , Lütkebohmert, Eva (Author) ,


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    Book/Monograph Working Paper Online Resource
  8. 8

    Improved modeling of double default effects in Basel II: an endogenous asset drop model without additional correlation by Ebert, Sebastian (Author) , Lütkebohmert, Eva (Author) ,


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    Book/Monograph Working Paper Online Resource
  9. 9

    Tax morale and the legitimacy of economic policy by Schnellenbach, Jan (Author)


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    Article (Journal)
  10. 10

    Models of joint defaults in credit risk management by Erlenmaier, Ulrich (Author)


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    Book/Monograph Working Paper
  11. 11

    Default probabilities and default correlations by Erlenmaier, Ulrich (Author) , Gersbach, Hans (Author) ,


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    Book/Monograph Working Paper
  12. 12

    Default probabilities and default correlations by Erlenmaier, Ulrich (Author) , Gersbach, Hans (Author) ,


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    Book/Monograph Working Paper
  13. 13

    Default probabilities and default correlations by Erlenmaier, Ulrich (Author) , Gersbach, Hans (Author) ,


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    Book/Monograph Working Paper Online Resource
  14. 14

    Neuronale Netze im Portfoliomanagement by Benenati, Ignazio (Author)

    Deutscher Universitätsverlag 1998

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  15. 15

    Neuronale Netze im Portfoliomanagement by Benenati, Ignazio (Author)

    Dt. Univ.-Verl. 1998

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    Bibliography Book/Monograph Thesis
  16. 16

    Financial markets for unknown risks: a generalization by Klimpel, Susanne (Author)


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    Book/Monograph Working Paper
  17. 17

    Financial economics by Eichberger, Jürgen (Author) , Harper, Ian R. (Author) ,

    Oxford Univ. Press 1997

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    Book/Monograph
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