Conflicts of interest and market discipline in financial services firms
|
2005 |
Walter, Ingo |
Risk management and value creation in banks
|
2005 |
Schröck, Gerhard |
Catastrophic events as threats to society: private and public risk management strategies
|
2005 |
Nell, Martin |
Alternative risk transfer
|
2005 |
Culp, Christopher L. |
Asset/liability management of German life insurance companies: a value-at-risk approach in the presence of interest rate guarantees
|
2005 |
Albrecht, Peter |
Value-based motives for corporate risk management
|
2005 |
Hommel, Ulrich |
Statutory regulation of the risk management function in Germany: implementation issues for the non-financial sector
|
2005 |
Weber, Jürgen |
Estimating the exchange rate exposure of US multinationl firms: evidence from an event study methodology
|
2005 |
Dewenter, Kathryn L. |
Corporate risk management: real options and financial hedging
|
2005 |
Triantis, Alexander J. |
Was Enron's business model fundamentally flawed?
|
2005 |
Ronn, Ehud I. |
Credit risk portfolio modeling: an overview
|
2005 |
Overbeck, Ludger |
Evaluating credit risk models
|
2005 |
Frerichs, Hergen |
Basel II and the effects on the banking sector
|
2005 |
Hartmann-Wendels, Thomas |
Parsimonious value at risk for fixed income portfolios
|
2005 |
Bilson, John F. O. |
Value at risk, bank equity and credit bank
|
2005 |
Wahl, Jack E. |
Parametric and nonparametric estimation of conditional return expectations
|
2005 |
Drobetz, Wolfgang |
Estimation of default probabilities and default correlations
|
2005 |
Huschens, Stefan |
Risk management, corporate governance and the public corporation
|
2005 |
Kaen, Fred R. |
Integrating corporate risk management
|
2005 |
Laux, Christian |
International corporate risk mananagement: a comparison of three major airlines
|
2005 |
Muck, Matthias |