Publications

Handbook of Econometrics, Volume 7A

1st Edition
P. Gagliardini, O. Scaillet, Et al.
Livres
30 nov. 2020

Cultural Finance

A World Map of Risk, Time and Money
T. Hens, et al.
Livres
30 nov. 2020

A New World Post COVID-19

Lessons for Business, the Finance Industry, and Policy Makers
S. Ongena, A. Wagner, S. Battiston , Et al.
Livres
31 juil 2020

Banking and Financial Markets: How Banks and Financial Technology Are Reshaping Financial Markets

Studies the interaction between traditional and modern banking and the economic benefits and costs o...
A. Bilan, K. O'Flynn, S. Ongena, Prof. Hans Degryse
Livres
18 nov. 2019

Collateral Frameworks: The Open Secret of Central Banks

Central bank collateral frameworks are an often overlooked feature of monetary policy that play a ke...
K. Nyborg
Livres
1 déc. 2016

The Price of Fixed Income Market Volatility

Fixed income volatility and equity volatility evolve heterogeneously over time, co-moving disproport...
A. Mele, Y. Obayashi
Livres
1 jan. 2015

Quantitative Risk Management: Concepts, Techniques and Tools

The most comprehensive treatment of the theoretical concepts and modelling techniques of quantitativ...
P. Embrechts, R. Frey and A. J. McNeil
Livres
1 jan. 2015

Simulating Security Returns: A Filtered Historical Simulation Approach

Practitioners in risk management are familiar with the use of the FHS (filtered historical simulatio...
G. Barone-Adesi
Livres
1 jan. 2014

Corporate Finance - Grundlagen von Finanzierung und Investition

Wie lässt sich die Unternehmenstätigkeit finanzieren? Wie viel Fremd- und wie viel Eigenkapital ist ...
A. Wagner
Livres
1 jan. 2014

Investissement Immobilier - Décision et gestion du risque

Cet ouvrage présente les outils susceptibles d'améliorer la prise de décision et la gestion du risqu...
M. Hoesli
Livres
14 sept. 2011

Investimento Immobiliare - Mercato, valutazione, rischio e portafogli

La finalità del libro è di comprendere in profondità le teorie che regolano i mercati immobiliari e ...
M. Hoesli
Livres
16 avr. 2010

Term-Structure Models - A Graduate Course

Modeling the term-structure movements of interest rates is a challenging task. This volume gives an ...
D. Filipović
Livres
1 jan. 2009

Property Investment - Principles and Practice of Portfolio Management

This book takes a different approach from that used in the past to consider the management of proper...
M. Hoesli
Livres
1 mai 2000

Modelling Extremal Events - for Insurance and Finance

A comprehensive development of extreme value methodology for random walk models, time series, certai...
P. Embrechts
Livres
1 jan. 1997
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