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Displaying results 1 to 13 of 13.

  1. Venture capital in Europe's common market
    a quantitative description
  2. Venture Capital in Europe's Common Market : A Quantitative Description
    Published: 2001
    Publisher:  Kiel Institute for the World Economy (IfW), Kiel

  3. Inconsistent measurement and disclosure of non-contingent financial derivatives under IFRS
    a behavioral perspective
    Published: 2007
    Publisher:  Univ. Mannheim, Sonderforschungsbereich 504, Mannheim

    Badische Landesbibliothek
    107 K 1709
    Unlimited inter-library loan, copies and loan
    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1155 (07.02)
    Unlimited inter-library loan, copies and loan
    Universitätsbibliothek Mannheim
    QD 5471
    Unlimited inter-library loan, copies and loan
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Working paper series / Sonderforschungsbereich 504, Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 07,02
    Subjects: Derivat; Risikopräferenz; Institutioneller Investor; IFRS; Derivat <Wertpapier>; Risikoverhalten; Institutioneller Anleger; International Financial Reporting Standards
    Scope: 24 Bl.
    Notes:

    Literaturverz. Bl. 20 - 24

    IFRS = International Financial Reporting Standards

  4. Institutional Investment in Central and Eastern Europe: Investment Criteria of Western Portfolio Managers
    Published: 1999
    Publisher:  Universitätsbibliothek Mannheim, Mannheim

  5. Essays on the impact of institutional ownership on the market for corporate control
    Published: [2021]
    Publisher:  HHL Leipzig Graduate School of Management, Leipzig, Germany

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    Content information
    Source: Union catalogues
    Language: English
    Media type: Dissertation
    Format: Print
    RVK Categories: QK 530
    Subjects: Corporate Governance; Institutioneller Anleger; Aktionärsstruktur; Investmentfonds; Index-Partizipationsschein; Hedge Fund; Risikomanagement
    Other subjects: (stw)Corporate Governance; (stw)Institutioneller Investor; (stw)Eigentümerstruktur; (stw)Investmentfonds; (stw)Indexderivat; (stw)Hedgefonds; (stw)Risikomanagement; (stw)Deutschland; Graue Literatur
    Scope: IX, 197 Seiten, 21 cm
    Notes:

    Dissertation, HHL Leipzig Graduate School of Management, 2021

  6. Ownership diversification and product market pricing incentives
    Published: 2022
    Publisher:  Deutsches Institut für Wirtschaftsforschung (DIW), Berlin

  7. Strategic trading and learning about liquidity
    Published: 2001
    Publisher:  Volkswirtschaftliche Fak. der Univ., München

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  8. New development in the Japanese corporate governance in the 1990s - the role of corporate pensions funds
  9. Institutional investment in central and eastern Europe
    investment criteria of Western portfolio managers
    Published: 1999
    Publisher:  ZEW, Mannheim

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 330; 380; 650; 670
    Series: Discussion paper ; No. 99,37 : International finance
    Subjects: Institutioneller Anleger; Portfolio-Investition; Anlageverhalten; Schätzung; Mitteleuropa ; Osteuropa ; Portfolio-Investition ; Makroökonomie
    Other subjects: (stw)Institutioneller Investor; (stw)Portfolio-Investition; (stw)Anlageverhalten; (stw)Schätzung; (stw)Westliche Staaten; (stw)Osteuropa; Arbeitspapier; Graue Literatur
    Scope: 27 S., graph. Darst., 21 cm
  10. New development in the Japanese corporate governance in the 1990s – The role of corporate pension funds
  11. Pension reform, savings behavior and corporate governance
  12. Inconsistent measurement and disclosure of non-contingent financial derivatives under IFRS : a behavioral perspective
    Published: 2007
    Publisher:  Universitätsbibliothek Mannheim, Mannheim

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Rationalitätskonzepte, Entscheidungsverhalten und ökonomische Modellierung (Laufzeit 1997 - 2008) ; 07-02
    Subjects: Derivat <Wertpapier>; Termingeschäft; Risikoverhalten; Institutioneller Anleger; International Financial Reporting Standards; International Accounting Standards; Derivat <Wertpapier> ; Risikoverhalten ; Institutioneller Anleger ; International Financial Reporting Standards
    Other subjects: (stw)Derivat; (stw)Risikopräferenz; (stw)Institutioneller Investor; (stw)IFRS; Arbeitspapier; Graue Literatur
    Scope: Online-Ressource
  13. A Hedge Fund Tale of Reach and Grasp
    Or What's a Heaven For
    Published: 2010
    Publisher:  John Wiley & Sons, New York, NY