Modern finance and risk management: editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands
Gespeichert in:
Weitere Verfasser: | , , , |
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Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Hackensack, NJ
World Scientific
[2022]
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Schriftenreihe: | Transformations in banking, finance and regulation
Volume 4 |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | xxiii, 483 Seiten |
ISBN: | 9781800611900 |
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© 2022 World Scientific Publishing Europe Ltd. https://doi.org/10.1142/9781800611917_fmatter Contents Grußwort v Foreword vii About the Editors ix About the Contributors xi Chapter 1. Introduction Tony Klein, Sven Loßagk, Mario Straßberger, and Thomas Walther Part I: Aspects of Modern Finance Chapter 2. Chapter 3. Chapter 4. Confounding the Return Notions Could Be Dangerous Günter Bamberg and Sebastian Heiden Emotionally Involved Investors — Is There Any Finance Theory Fitting to Ethical, Crowdfunding and Fan Bond Investors? Ralf Trost and Alexander Fox How Did Risk-Reduced Investment Strategies Perform During the Corona Crash? Lessons Learned from the Crisis for the Asset Management Industry Friedrich Thießen and Jörg Müller xxi 1 7 9 27 55
xxii Chapter 5. Chapter 6. Chapter 7. Modern Finance and Risk Management The Growth of Social Banks, Investment Restrictions, and Excess Liquidity Risk Susanne Homolle, Nikolas Höhnke, Ulf Hübenbecker, and Philipp Winskowski Comparative Analysis of Determining the Risk-Adequate Cost of Capital for Regulated Network Operators in Network Industries .Ulrike Stopka Private Equity Investments and Value Creation in Small and Medium-Sized Enterprises Benjamin Hammer, Nils Härtel, Suleiman Naiem, and Bernhard Schwetzler Part II: Aspects of Modern Risk Management Chapter 8. The Risk of the Unseen Steffi Höse and Stefan Huschens Chapter 9. Tail Nonlinearly Transformed Risk Measure as a Capital Constraint — A Better Choice for Bank Regulation Than Conditional Value-at-Risk? Kerstin Bergk, Mario Brandtner, and Wolfgang Kürsten 79 103 137 171 173 197 Chapter 10. Objectification of Subjective Risk Assessments Lars Hengmith and Sophia Licht 219 Chapter 11. Model Risk as Multiplicative Risk Factor Stefan Huschens and Gerhard Stahl 247 Chapter 12. Model Risk in Option Pricing — Estimation Risk of Volatility Parameter Krzysztof Jajuga 269
Contents Chapter 13. Reference Framework for Success Factors of Resilient Supply Chains and Practical Application on a Supply Chain Disruption Rainer Lasch and Karl Dietrich xxiii 289 Chapter 14. Assessment of the Systemic Risk in the German Banking Industry 313 Katarzyna Kuziak and Krzysztof Piontek Part III: Aspects of Modern Commodity Finance 333 Chapter 15. Oil and Stock Market Returns: Direction, Volatility or Liquidity? 335 Harald Kinateder and Niklas Wagner Chapter 16. Risk Reduction by Law: An Assessment of the German Renewable Energy Sources Act Sven Loßagk 353 Chapter 17. Corporate Risk Management with Power Purchase Agreements Andreas Horsch and Steffen Hundt 379 Chapter 18. The Christenson Gold Price Model Reconsidered Thomas Burkhardt and Dominik Möhring 401 Chapter 19. In Gold We Trust: Should German Investors Consider Gold in Stock Portfolios? Siegfried Köstlmeier and Klaus Röder 417 Chapter 20. Dynamic Correlation of Precious Metals and Equity Markets: A Mixed Data Sampling Approach Tony Klein and Thomas Walther 437 Chapter 21. Cryptocurrencies as an Asset Class — Holding Bitcoin in German Equities Portfolios Mario Straßberger 453 Index 475 |
adam_txt |
© 2022 World Scientific Publishing Europe Ltd. https://doi.org/10.1142/9781800611917_fmatter Contents Grußwort v Foreword vii About the Editors ix About the Contributors xi Chapter 1. Introduction Tony Klein, Sven Loßagk, Mario Straßberger, and Thomas Walther Part I: Aspects of Modern Finance Chapter 2. Chapter 3. Chapter 4. Confounding the Return Notions Could Be Dangerous Günter Bamberg and Sebastian Heiden Emotionally Involved Investors — Is There Any Finance Theory Fitting to Ethical, Crowdfunding and Fan Bond Investors? Ralf Trost and Alexander Fox How Did Risk-Reduced Investment Strategies Perform During the Corona Crash? Lessons Learned from the Crisis for the Asset Management Industry Friedrich Thießen and Jörg Müller xxi 1 7 9 27 55
xxii Chapter 5. Chapter 6. Chapter 7. Modern Finance and Risk Management The Growth of Social Banks, Investment Restrictions, and Excess Liquidity Risk Susanne Homolle, Nikolas Höhnke, Ulf Hübenbecker, and Philipp Winskowski Comparative Analysis of Determining the Risk-Adequate Cost of Capital for Regulated Network Operators in Network Industries .Ulrike Stopka Private Equity Investments and Value Creation in Small and Medium-Sized Enterprises Benjamin Hammer, Nils Härtel, Suleiman Naiem, and Bernhard Schwetzler Part II: Aspects of Modern Risk Management Chapter 8. The Risk of the Unseen Steffi Höse and Stefan Huschens Chapter 9. Tail Nonlinearly Transformed Risk Measure as a Capital Constraint — A Better Choice for Bank Regulation Than Conditional Value-at-Risk? Kerstin Bergk, Mario Brandtner, and Wolfgang Kürsten 79 103 137 171 173 197 Chapter 10. Objectification of Subjective Risk Assessments Lars Hengmith and Sophia Licht 219 Chapter 11. Model Risk as Multiplicative Risk Factor Stefan Huschens and Gerhard Stahl 247 Chapter 12. Model Risk in Option Pricing — Estimation Risk of Volatility Parameter Krzysztof Jajuga 269
Contents Chapter 13. Reference Framework for Success Factors of Resilient Supply Chains and Practical Application on a Supply Chain Disruption Rainer Lasch and Karl Dietrich xxiii 289 Chapter 14. Assessment of the Systemic Risk in the German Banking Industry 313 Katarzyna Kuziak and Krzysztof Piontek Part III: Aspects of Modern Commodity Finance 333 Chapter 15. Oil and Stock Market Returns: Direction, Volatility or Liquidity? 335 Harald Kinateder and Niklas Wagner Chapter 16. Risk Reduction by Law: An Assessment of the German Renewable Energy Sources Act Sven Loßagk 353 Chapter 17. Corporate Risk Management with Power Purchase Agreements Andreas Horsch and Steffen Hundt 379 Chapter 18. The Christenson Gold Price Model Reconsidered Thomas Burkhardt and Dominik Möhring 401 Chapter 19. In Gold We Trust: Should German Investors Consider Gold in Stock Portfolios? Siegfried Köstlmeier and Klaus Röder 417 Chapter 20. Dynamic Correlation of Precious Metals and Equity Markets: A Mixed Data Sampling Approach Tony Klein and Thomas Walther 437 Chapter 21. Cryptocurrencies as an Asset Class — Holding Bitcoin in German Equities Portfolios Mario Straßberger 453 Index 475 |
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spelling | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands Tony Klein, Sven Lobagk, Mario Strabberger, Thomas Walther Hackensack, NJ World Scientific [2022] xxiii, 483 Seiten txt rdacontent n rdamedia nc rdacarrier Transformations in banking, finance and regulation Volume 4 Rohstoffmarkt (DE-588)4050426-8 gnd rswk-swf Portfolio Selection (DE-588)4046834-3 gnd rswk-swf Kapitalanlage (DE-588)4073213-7 gnd rswk-swf Risikomanagement (DE-588)4121590-4 gnd rswk-swf (DE-588)4016928-5 Festschrift gnd-content (DE-588)4143413-4 Aufsatzsammlung gnd-content Portfolio Selection (DE-588)4046834-3 s Risikomanagement (DE-588)4121590-4 s Rohstoffmarkt (DE-588)4050426-8 s Kapitalanlage (DE-588)4073213-7 s DE-604 Locarek-Junge, Hermann 1957- (DE-588)121828344 hnr Klein, Tony 1987- (DE-588)1151475467 edt Loßagk, Sven 1979- (DE-588)1020940190 edt Straßberger, Mario (DE-588)171732634 edt Walther, Thomas 1986- (DE-588)1064909957 edt Erscheint auch als Online-Ausgabe 978-1-80061-191-7 Transformations in banking, finance and regulation Volume 4 (DE-604)BV048363319 4 Digitalisierung UB Regensburg - ADAM Catalogue Enrichment application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=033766928&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands Transformations in banking, finance and regulation Rohstoffmarkt (DE-588)4050426-8 gnd Portfolio Selection (DE-588)4046834-3 gnd Kapitalanlage (DE-588)4073213-7 gnd Risikomanagement (DE-588)4121590-4 gnd |
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title | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands |
title_auth | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands |
title_exact_search | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands |
title_exact_search_txtP | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands |
title_full | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands Tony Klein, Sven Lobagk, Mario Strabberger, Thomas Walther |
title_fullStr | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands Tony Klein, Sven Lobagk, Mario Strabberger, Thomas Walther |
title_full_unstemmed | Modern finance and risk management editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands Tony Klein, Sven Lobagk, Mario Strabberger, Thomas Walther |
title_short | Modern finance and risk management |
title_sort | modern finance and risk management editors tony klein queen s university belfast uk sven lossagk saxon university of cooperative education dresden germany mario strassberger zittau gorlitz university of applied sciences germany thomas walther utrecht university the netherlands |
title_sub | editors, Tony Klein, Queen's University Belfast, UK, Sven Lossagk, Saxon University of Cooperative Education, Dresden, Germany, Mario Strassberger, Zittau/Görlitz University of Applied Sciences, Germany, Thomas Walther, Utrecht University, The Netherlands |
topic | Rohstoffmarkt (DE-588)4050426-8 gnd Portfolio Selection (DE-588)4046834-3 gnd Kapitalanlage (DE-588)4073213-7 gnd Risikomanagement (DE-588)4121590-4 gnd |
topic_facet | Rohstoffmarkt Portfolio Selection Kapitalanlage Risikomanagement Festschrift Aufsatzsammlung |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=033766928&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
volume_link | (DE-604)BV048363319 |
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