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  1. Lending standards and output growth
    Author: Kirti, Divya
    Published: January 2018
    Publisher:  International Monetary Fund, [Washington, D.C.]

    While some credit booms are followed by economic underperformance, many are not. Can lending standards help separate good credit booms from bad credit booms contemporaneously? To observe lending standards internationally, I use information from... more

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    While some credit booms are followed by economic underperformance, many are not. Can lending standards help separate good credit booms from bad credit booms contemporaneously? To observe lending standards internationally, I use information from primary debt capital markets. I construct the high-yield (HY) share of bond issuance for a panel of 38 countries. The HY share is procyclical, suggesting that lending standards in bond markets are extrapolative. Credit booms with deteriorating lending standards (rising HY share) are followed by lower GDP growth in the subsequent three to four years. Such booms deserve attention from policy makers

     

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  2. Investment under risks and uncertainty in Afghanistan
    Published: May 2018
    Publisher:  World Bank Group, Finance, Competitiveness and Innovation Global Practice & Development Research Group, Washington, D.C.

    This paper investigates the state of low investment in Afghanistan by studying how investment decisions interact with risks and uncertainty in the presence of underdeveloped financial markets. The analysis shows that investing firms experience a... more

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    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Universität Potsdam, Universitätsbibliothek
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    This paper investigates the state of low investment in Afghanistan by studying how investment decisions interact with risks and uncertainty in the presence of underdeveloped financial markets. The analysis shows that investing firms experience a higher probability of being affected by events related to crime and corruption and spend more on security arrangements. Firms that participate in the formal financial sector are also subject to higher levels of risk and uncertainty. As more productive firms face higher risks and uncertainty, a model of resource allocation with heterogeneous firms is used to quantify the economic loss from crime and corruption. The estimated aggregate output loss of 12 percent is significantly higher than the 7 percent loss observed in the absence of the resource allocation channel

     

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    Volltext (Deutschlandweit zugänglich)
    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Policy research working paper ; 8443
    World Bank E-Library Archive
    Subjects: Finanzmarkt; Anlageverhalten; Risiko; Entscheidung unter Unsicherheit; Investitionsentscheidung; Afghanistan
    Scope: 1 Online-Ressource (circa 38 Seiten), Illustrationen
  3. Price adjustment to news with uncertain precision
    Published: 2008
    Publisher:  Univ.-Bibliothek Frankfurt am Main, Frankfurt am Main

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
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    Series: Center for Financial Studies (Frankfurt am Main): CFS working paper series ; No. 2008,28
    Subjects: Börsenkurs; Anlageverhalten; Informationsverhalten; Lernkurve; Wirtschaftsinformation; Informationswert; Self-fulfilling Prophecy; Theorie
    Other subjects: (stw)Börsenkurs; (stw)Anlageverhalten; (stw)Informationsverhalten; (stw)Lernprozess; (stw)Wirtschaftsinformation; (stw)Informationswert; (stw)Ankündigungseffekt; (stw)Theorie; (stw)USA; Arbeitspapier; Graue Literatur; Buch; Online-Publikation
    Scope: Online-Ressource
  4. Cognitive abilities and portfolio choice
  5. Hindsight bias and individual risk attitude within the context of experimental asset markets
    Published: 2002
    Publisher:  Max Planck Institute for Research into Economic Systems, Jena

    Thüringer Universitäts- und Landesbibliothek
    2002 SB 304
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1433 (2002.16)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Papers on strategic interaction ; 16-2002
    Subjects: Anlageverhalten; Risikopräferenz; Wertpapierhandel; Experiment; Theorie; Kognition
    Scope: 20 S, graph. Darst
    Notes:

    Internetausg.: ftp://ftp.mpiew-jena.mpg.de/pub/esi/discussionpapers/2002-16.pdf

    Literaturverz. S. 16 - 19

  6. Die Koexistenz von Rechnungslegungsnormen betreffend F&E-Projekte innerhalb der EU und ihr Einfluß auf die Investitionstätigkeit von Eigenkapitalgebern
    eine deutsche Perspektive
    Author: Simons, Dirk
    Published: 1999
    Publisher:  Fak. für Wirtschaftswissenschaften, Univ., Bielefeld

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 111 (411)
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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Discussion paper / Universität Bielefeld, Fakultät für Wirtschaftswissenschaften ; 411
    Subjects: Forschungskosten; Bilanzierungspflicht; Kapitalbeteiligung; Eigenkapital; Anlageverhalten; EU-Bilanzrecht; Theorie; EU-Staaten
    Scope: 21 Bl
    Notes:

    Literaturverz. Bl. 20 - 21

  7. Risk attitude and market behavior
    evidence from experimental asset markets
    Published: 2002
    Publisher:  Max Planck Institute for Research into Economic Systems, Strategic Interaction Group, Jena

    Thüringer Universitäts- und Landesbibliothek
    2003 SB 116
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1433 (2002.34)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Papers on strategic interaction ; 34-2002
    Subjects: Risikopräferenz; Glücksspiel; Entscheidung; Anlageverhalten; Geschlecht; Experiment; Theorie
    Scope: 25 S, graph. Darst, 30 cm
    Notes:

    Literaturverz. S. 12 - 15

    Internetausg.: ftp://ftp.mpiew-jena.mpg.de/pub/esi/discussionpapers/2002-34.pdf

  8. Die beschwerliche Überwindung von Pfadabhängigkeiten
    das Ringen um "rationale" Entscheidungen von internationalen Büroimmobilien-Investoren
    Published: 2008
    Publisher:  Univ., Wirtschafts- und Sozialgeograph. Inst., Köln

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1237 (2008.01)
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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Working paper / University of Cologne, Department of Economic and Social Geography ; 2008-01
    Subjects: Institutioneller Investor; Gewerbeimmobilien; Anlageverhalten; Multinationales Unternehmen; Entscheidung; Pfadabhängigkeit; Evolutionsökonomik; Welt
    Scope: IV, 38 S., Kt.
  9. IAS 39 and biases in the risk perception of financial instruments
    Published: 2007
    Publisher:  Univ., Sonderforschungsbereich 504, Mannheim

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1155 (07.73)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich 504, Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 07,73
    Subjects: Derivat; Unternehmenspublizität; IFRS; Fair-Value-Bilanzierung; Anlageverhalten; Risiko; Wahrnehmung; Systematischer Fehler; Experiment
    Scope: 29 Bl., graph. Darst.
    Notes:

    Literaturverz. Bl. 26 - 29

  10. Scale dependence of overconfidence in stock market volatility forecasts
    Published: 2008
    Publisher:  Univ., Sonderforschungsbereich 504, Mannheim

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1155 (08.22)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich 504 ; 08,22
    Subjects: Anlageverhalten; Börsenkurs; Kapitaleinkommen; Prognose; Vertrauen; Experiment; Deutschland
    Scope: 9 Bl.
  11. Investors' risk attitude and risky behavior
    a Bayesian approach with imperfect information
    Published: 2008 [erschienen] 2009
    Publisher:  Banca d'Italia, Roma

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 140 (692)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Temi di discussione / Banca d'Italia ; 692
    Subjects: Kapitalanlage; Anlageverhalten; Risikoaversion; Bayes-Statistik; Italien
    Scope: 29 S., Tab.
    Notes:

    Literaturverz. S.27-29

  12. Why you should not invest in mining endeavour?
    the efficiency of BTC mining under current market conditions
    Published: 2018
    Publisher:  University of Warsaw, Faculty of Economic Sciences, Warsaw

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    VS 427 (277)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Working papers / Faculty of Economic Sciences, University of Warsaw ; no. 2018, 18 = 277
    Subjects: Virtuelle Währung; Anlageverhalten; Bergbau; Effizienzmarkthypothese
    Scope: 1 Online-Ressource (circa 47 Seiten), Illustrationen
  13. Household economic decisions under the shadow of terrorism
    Published: 2009
    Publisher:  Univ.-Bibliothek Frankfurt am Main, Frankfurt am Main

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
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    Edition: Version January 4, 2009
    Series: Center for Financial Studies (Frankfurt am Main): CFS working paper series ; No. 2008,56
    Subjects: Haushalt; Anlageverhalten; Verbraucherverhalten; Terrorismus; USA; Haushalt; Internationaler Terrorismus; Ausgaben; Geschichte 2002
    Other subjects: (stw)Privater Haushalt; (stw)Anlageverhalten; (stw)Konsumentenverhalten; (stw)Terrorismus; (stw)USA; Terrorism; Expectations; Household Finance; Demand Analysis; Arbeitspapier; Graue Literatur; Buch; Online-Publikation
    Scope: Online-Ressource
  14. Die Anlageentscheidungen deutscher Investoren
    der empirische Befund
    Published: 1999
    Publisher:  Inst. für Weltwirtschaft, Kiel

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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    RVK Categories: QD 000
    DDC Categories: 330; 380; 650; 670
    Series: Kieler Arbeitspapiere ; Nr. 937
    Subjects: Anlageverhalten; Kapitalanlage; Portfolio-Investition; Portfolio Selection; Schätzung; :z Geschichte 1988-1997
    Other subjects: (stw)1988-1997; (stw)Anlageverhalten; (stw)Kapitalanlage; (stw)Portfolio-Investition; (stw)Portfolio-Management; (stw)Schätzung; (stw)Deutschland; Arbeitspapier; Graue Literatur; Buch
    Scope: 39 S., graph. Darst., 21 cm
    Notes:

    Literaturverz. S. 35 - 39

  15. Private Anleger und derivate Geldanlagen
    Ergebnisse einer empirischen Erhebung
    Published: 2005
    Publisher:  Dt. Aktieninst., Frankfurt am Main

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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    ISBN: 9783934579316; 3934579310
    Other identifier:
    9783934579316
    RVK Categories: PE 570 ; QK 660 ; PE 570 ; QK 660
    Edition: 1. Aufl.
    Series: Studien des Deutschen Aktieninstituts ; H. 31
    Subjects: Anlageverhalten; Kapitalanlage; Derivat <Wertpapier>; Termingeschäft
    Other subjects: (stw)Anlageverhalten; (stw)Kapitalanlage; (stw)Derivat; (stw)Deutschland; (VLB-FS)Privatanleger; (VLB-FS)Geldanlagen; (VLB-PF)00: (unbekannt); Anlagezertifikate; Aktienanleihen; Anlagezertifikate; Aktienanleihen; Buch; Graue Literatur
    Scope: 47 S., 30 cm, 178 gr.
  16. Maßnahmen zur Stärkung von Sozial verantwortlichem Investieren (SRI)
    Vorschläge für die deutsche Entwicklungszusammenarbeit
    Published: 2006
    Publisher:  Dt. Inst. für Entwicklungspolitik, Bonn

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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  17. Fear and greed in financial markets
    a clinical study of day-traders
    Published: 2005
    Publisher:  National Bureau of Economic Research, Cambridge, Mass.

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QA 32110
    Series: NBER working paper series ; 11243
    Subjects: Anlageverhalten; Neuroökonomie; Day trading (Securities)
    Scope: 24 S, graph. Darst
    Notes:

    Literaturverz. S. 20 - 24

    Internetausg.: papers.nber.org/papers/w11243.pdf - lizenzpflichtig

  18. Differences in portfolios across countries
    economic environment versus household characteristics
    Published: 2010
    Publisher:  MEA, Mannheim

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: MEA discussion papers ; 204
    Subjects: Älterer Mensch; Haushalt; Kapitalanlage; Anlageverhalten; :z Geschichte 2004-2005
    Other subjects: (stw)2004-2005; (stw)Ältere Menschen; (stw)Privater Haushalt; (stw)Kapitalanlage; (stw)Anlageverhalten; (stw)Europa; (stw)USA; Online-Publikation; Graue Literatur; Buch; Arbeitspapier; Als Aufsatz endgültig erschienen
    Scope: 50 S., 30 cm
    Notes:

    Literaturangaben

  19. Price Adjustment to News with Uncertain Precision
  20. Risiken im Lebenszyklus
    Theorie und Evidenz
    Published: 2005
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 05,05
    Subjects: Risiko; Lebenszyklus; Sparen; Anlageverhalten; Versicherung; Soziale Sicherheit
    Scope: 20 S, graph. Darst
    Notes:

    Zsfassung in engl. Sprache

  21. A behavioral approach to the asset allocation puzzle
    Published: 2000
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 00,46
    Subjects: Portfolio-Management; Anlageverhalten; CAPM; Anlageberatung; Schätzung; Theorie; Deutschland
    Scope: 44 S, graph. Darst
  22. The influence of different investment horizons on risk behavior
    Published: 2000
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 00,48
    Subjects: Investitionsentscheidung; Risikopräferenz; Fälligkeit; Anlageverhalten; Systematischer Fehler; Experiment; Deutschland; Entscheidung unter Risiko
    Scope: 42 S, graph. Darst
  23. Zyklische und antizyklische Investment-Strategien
    theoretische Fundierung und empirische Überprüfung am Schweizer Aktienmarkt
    Published: 1999
    Publisher:  Uhlenbruch, Bad Soden/Ts.

    Universität Potsdam, Universitätsbibliothek
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    Source: Union catalogues
    Language: German
    Media type: Dissertation
    Format: Print
    ISBN: 3933207088
    Other identifier:
    Diss.-Nr. 2274
    Series: Reihe: Portfoliomanagement ; 13
    Subjects: Wertpapierhandel; Strategie; Aktienmarkt; Effizienzmarkthypothese; Anlageverhalten; Schätzung; Theorie; Schweiz
    Scope: XXII, 361 S, graph. Darst, 21 cm
    Notes:

    Zugl.: St. Gallen, Univ., Diss., 1999 u.d.T.: Dressendörfer, J. Maximilian: Zyklische und antizyklische Handelsstrategien

  24. How do prior outcomes affect risky choice?
    Further evidence on the house-money effect and escalation of commitment
    Published: 2001
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbreich Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 01,48
    Subjects: Anlageverhalten; Experiment; Theorie; Deutschland; Entscheidung unter Risiko; Sequentielle Entscheidung
    Scope: 43 Bl, graph. Darst
  25. Risk attitude, impatience, and asset choice
    Published: 2002
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich 504, Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 02,28
    Subjects: Anlageverhalten; Portfolio-Management; Risikopräferenz; Liquiditätsbeschränkung; Schätzung; Theorie; Niederlande
    Scope: 48 S, graph. Darst