354 results on '"Gürtler, Marc"'
Search Results
2. The impact of cultural differences on the success of elite labor migration—Evidence from professional soccer
3. Correction: The impact of cultural differences on the success of elite labor migration—evidence from professional soccer
4. Forecasting accuracy of machine learning and linear regression: evidence from the secondary CAT bond market
5. Heterogeneities among credit risk parameter distributions: the modality defines the best estimation method
6. Risk transfer beyond reinsurance: the added value of CAT bonds
7. Multidimensional skin in the game
8. Promotion signaling, discrimination, and positive discrimination policies
9. Arising from the Ruins: The impact of natural disasters on reconstruction labor wages
10. Big Fish in Small (and Big) Ponds: A Study of Careers
11. Risk transfer and moral hazard: An examination on the market for insurance-linked securities
12. Informational synergies in consumer credit
13. Firm choice and career success - theory and evidence
14. Hard markets, hard times: On the inefficiency of the CAT bond market
15. Improving CAT bond pricing models via machine learning
16. Risk assessment of mortgage covered bonds: International evidence
17. The effect of wind and solar power forecasts on day-ahead and intraday electricity prices in Germany
18. Exposure at default modeling – A theoretical and empirical assessment of estimation approaches and parameter choice
19. Market-based tournaments: An experimental investigation
20. Empirical analysis of the international public covered bond market
21. Forecasting performance of time series models on electricity spot markets
22. Insured Loss Inflation: How Natural Catastrophes Affect Reconstruction Costs
23. Cumulative Prospect Theory for piecewise continuous distributions
24. The Impact of the Financial Crisis and Natural Catastrophes on CAT Bonds
25. Partialanalytische Ansätze der Portfolioselektion: Markowitz-Portfoliotheorie
26. Entscheidungstheoretische Grundlagen
27. Portfolioselektion und 'Fehlbewertungen': Arbitragetheorie
28. Problemstellung und Aufbau des Buchs
29. Machine Learning-Based Variable Selection for Clustered Credit Risk Modeling
30. Tuning White Box Model With Black Box Models: Transparency in Credit Risk Modeling
31. Partialanalytische Ansätze der Portfolioselektion: Markowitz-Portfoliotheorie
32. Portfolioselektion und 'Fehlbewertungen': Arbitragetheorie
33. Problemstellung und Aufbau des Buchs
34. Entscheidungstheoretische Grundlagen
35. The Optimality of Heterogeneous Tournaments
36. Finanzierung
37. Risikomanagement
38. Investition
39. Problemstellung und Aufbau des Buchs
40. The interaction of explicit and implicit contracts: A signaling approach
41. Safety-first-Ansätze zur Portfolioselektion
42. Naive Diversifikation
43. Das Single-Index- oder Marktmodell
44. Problemstellung und Aufbau des Buches
45. Separationstheoreme im Portfoliomanagement
46. Portfolioselektion unter Berücksichtigung des geometrischen Mittels
47. Portfolioselektion unter Berücksichtigung höherer Momente
48. Portfolioselektion auf Basis der stochastischen Dominanz und des Gini-Differenz-Mittelwertes
49. Nutzentheorie und Investorverhalten
50. Portfolioselektion und µ-σ-Prinzip
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