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  • MPI Ethno. Forsch.  (21)
  • Regensburg UB  (1)
  • 2020-2024  (22)
  • Theorie  (22)
  • Economics  (22)
Datasource
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Language
Years
Year
  • 1
    Journal/Serial
    Journal/Serial
    Bingley [u.a.] : Emerald | Greenwich, Conn. [u.a.] : JAI Press | Amsterdam [u.a.] : JAI | Amsterdam [u.a.] : Elsevier ; 1.1994 -
    ISSN: 1529-2134 , 1529-2134
    Language: English
    Dates of Publication: 1.1994 -
    Parallel Title: Erscheint auch als Advances in Austrian economics
    DDC: 330
    RVK:
    Keywords: Österreichische Schule ; Theorie ; Monografische Reihe ; Wiener Schule
    Note: Ab 6.2003 Schriftenreihe
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  • 2
    ISBN: 0444896473
    Language: English
    Series Statement: Handbooks in economics 14
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    Keywords: Familienökonomik ; Bevölkerungsökonomik ; Fertilität ; Sterblichkeit ; Internationale Migration ; Altersgruppe ; Theorie ; Population ; Economic aspects ; Family demography ; Economic aspects ; Population ; Aspect économique ; Démographie de la famille ; Aspect économique ; Handbuch ; Enzyklopädie ; Aufsatzsammlung ; Bevölkerungsentwicklung ; Familienökonomie ; Demographie ; Bevölkerungsökonomie ; Migration
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  • 3
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031516818
    Language: English
    Pages: 1 Online-Ressource (XLIII, 912 p. 129 illus., 87 illus. in color.)
    Edition: 3rd ed. 2024.
    Series Statement: Springer Texts in Business and Economics
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
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    Keywords: Dynamisches Gleichgewicht ; Allgemeines Gleichgewicht ; Agentenbasierte Modellierung ; CGE-Modell ; Theorie ; Economics ; Econometrics. ; Macroeconomics. ; Economic development. ; Computer science. ; Equilibrium (Economics) Mathematical models ; Economics, Mathematical ; Business Cycles ; Computational Economics ; Dynamic General Equilibrium Modeling ; General Equilibrium ; General Equilibrium Modeling ; Growth Theory ; Heterogeneous Agents ; Stochastic Rational Expectations Economies ; Agents ; Growth Model ; Ramsey Model ; Perturbation Methods ; Heterogenous Agent Models ; Monetary and Fiscal Policy ; MATLAB ; GAUSS ; Python ; Lehrbuch ; Dynamische Makroökonomie ; Allgemeines Gleichgewichtsmodell ; Dynamische Makroökonomie ; Allgemeines Gleichgewichtsmodell
    Abstract: Part I: Representative Agent Models: Basic Models -- Perturbation Methods: Framework and Tools -- Perturbation Methods: Solutions -- Perturbation Methods: Model Evaluation and Applications -- Weighted Residuals Methods -- Simulation-Based Methods -- Discrete State Space Value Function Iteration -- Part II: Heterogenous Agent Models: Computation of Stationary Distributions -- Dynamics of the Distribution Function -- Overlapping Generations Models with Perfect Foresight -- OLG Models with Uncertainty -- Part III: Numerical Methods: Linear Algebra -- Function Approximation -- Differentiation and Integration -- Nonlinear Equations and Optimization -- Difference Equations and Stochastic Processes.
    Abstract: Contemporary macroeconomics is built upon microeconomic principles, with its most recent advance featuring dynamic stochastic general equilibrium models. The textbook by Heer and Maußner acquaints readers with the essential computational techniques required to tackle these models and employ them for quantitative analysis. This third edition maintains the structure of the second, dividing the content into three separate parts dedicated to representative agent models, heterogeneous agent models, and numerical methods. At the same time, every chapter has been revised and two entirely new chapters have been added. The updated content reflects the latest advances in both numerical methods and their applications in macroeconomics, spanning areas like business-cycle analysis, economic growth theory, distributional economics, monetary and fiscal policy. The two new chapters delve into advanced techniques, including higher-order perturbation, weighted residual methods, and solutions to high-dimensional nonlinear problems. In addition, the authors present further insights from macroeconomic theory, complemented by practical applications like the Smolyak algorithm, Gorman aggregation, rare disaster models and dynamic Laffer curves. Lastly, the new edition places special emphasis on practical implementation across various programming languages; accordingly, its accompanying web page offers examples of computer code for languages such as MATLAB®, GAUSS, Fortran, Julia and Python. "This book does not only an excellent job in explaining the existing tools, but it also teaches the reader on how to write his/her own programs and it provides the reader with the tools to help advance the state of the art of dynamic macroeconomics." Wouter J. Den Haan, London School of Economics ”... provides the reader with exactly the necessary computational tools to solve the dynamic general equilibrium models macroeconomists care about. It is therefore the perfect complement to Stokey, Lucas and Prescott's and Sargent and Ljungqvist's theoretical treatment of modern macroeconomics." Dirk Krueger, University of Pennsylvania.
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  • 4
    Online Resource
    Online Resource
    Berlin, Heidelberg : Springer Berlin Heidelberg | Berlin, Heidelberg : Imprint: Springer
    ISBN: 9783662676462
    Language: English
    Pages: 1 Online-Ressource (XIV, 212 p. 4 illus.)
    Uniform Title: Formelsammlung Finanzmathematik
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Peren, Franz W., 1959 - Financial math for business and economics
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    Keywords: Statistische Methodenlehre ; Theorie ; Social sciences—Mathematics. ; Business enterprises—Finance. ; Finance. ; Business mathematics. ; Accounting. ; Social sciences ; Business enterprises ; Accumulation ; Discounting ; Annuity ; Interest calculation ; Redemption ; Investment ; Effective interest rate ; ICMA International Capital Market Association ; Depreciation ; Present value ; Wirtschaftsstatistik
    Abstract: Calculation of Interest -- Annual Percentage Rate -- Depreciation -- Annuity Calculation -- Sinking Fund Calculation -- Investment Calculation -- Financial Mathematical Factors. .
    Abstract: This compendium contains and explains essential mathematical formulas for financial economics and finance. A broad range of aids and supportive examples will help readers to understand the formulas and their practical applications. This mathematical formulary is presented in a practice-oriented, clear, and understandable manner, as it is needed for meaningful and relevant application in global business, as well as in the academic setting and economic practice. The topics presented include but are not limited to accumulation, discounting, annuity, interest calculation, redemption, investment, effective interest rates, ICMA, depreciation, and present value. Given its scope, the book offers an indispensable reference guide and is a must-read for undergraduate and graduate students, as well as managers, scholars, and lecturers in financial economics and business.
    Note: Translation from the German language edition: "Formelsammlung Finanzmathematik" by Franz W. Peren, © Der/die Herausgeber bzw. der/die Autor(en), exklusiv lizenziert an Springer Verlag GmbH, DE, ein Teil von Springer Nature 2023
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  • 5
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Palgrave Macmillan
    ISBN: 9783031400148
    Language: English
    Pages: 1 Online-Ressource (XXV, 462 p.)
    Edition: 3rd ed. 2023.
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
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    Keywords: Entwicklungsprojekt ; Entwicklungsländer ; Theorie ; Development economics. ; Economic policy. ; International economic relations. ; International development ; Financial and economic analysis ; National economic returns ; Economic prices ; Domestic price system ; Non-traded outputs ; Benefit valuation ; Economic discount rate ; Economic uncertainty ; Income distribution ; Economic development projects Developing countries ; Evaluation ; Entwicklungsländer ; Projektanalyse ; Entwicklungsländer ; Entwicklungsprojekt ; Projektanalyse
    Abstract: 1. Introduction -- 2. Main Features of Projects, Project Resource Statements and Financial Statements -- 3. Project Criteria and Differences between Financial and Economic Analysis -- 4. National Economic Returns and Use of Economic Prices -- 5. Comparing Alternative Approaches -- 6. Economic Analysis in a Domestic Price System -- 7. Non-Traded Outputs and Benefit Valuation -- 8. Valuation in Different Sectors -- 9. Economic Discount Rate -- 10. Uncertainty -- 11. Projects and Environmental Effects -- 12. Income Distribution Effects of Projects -- 13. Wider Economic Impacts of Projects -- 14. Limitations and Conclusions.
    Abstract: This updated new edition explores the techniques used to assess the economic impact of projects in developing countries. Blending an academic understanding of economics and development with an accessible style and practical advice, the costs and benefits of investment projects, an important mechanism for economic development, are assessed to ensure that resource allocation is as productive as possible. New material has been added, particularly on the environmental impact of projects, the role of the discount rate in decision-taking, the application of techniques to estimate willingness to pay for benefit estimation and the quantification of health impacts. Although the basic techniques of project analysis were developed many decades ago, they remain highly relevant to address current concerns, such as population growth, urbanisation, pressure on physical infrastructure, inequality, and the climate crisis. This book aims to provide an accessible overview, drawn from extensive practical experience, of project analysis in developing countries. It will be relevant to students, researchers, and practitioners interested in development economics. .
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  • 6
    ISBN: 9781003241041
    Language: English
    Pages: 1 Online-Ressource (191 Seiten) , Illustrationen
    Parallel Title: Erscheint auch als Chun, Christian W., 1960 - A world without capitalism?
    DDC: 330.12/2
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    Keywords: Kapitalismus ; Diskurstheorie ; Linguistik ; Theorie ; Welt ; Capitalism Social aspects ; Sociolinguistics ; Language and languages Political aspects
    Abstract: A world without capitalism? -- Capitalism and its spectral realities -- What's in a name: 'Working' or 'middle' class? -- The crucial role of race in American capitalism -- 'Working for the clampdown' -- Workplaces, the city, and the world -- The socio-spatialities of capital: Urban landscapes and alternative imaginaries -- What is to be done?
    Abstract: "In this book, Christian W. Chun examines the ways in which identities, discourses and topographies of both capitalist and anti-capitalist imaginaries and realities are embodied in the everyday practices of people. A World Without Capitalism? is a sociolinguistic ethnography that explores the heretofore limited research in applied linguistics and sociolinguistics on the discursive and materialized representations and enactments of capitalism. Engaging across disciplinary fields, including applied linguistics, ethnography, political economy, philosophy, and cultural studies, Chun investigates in ethnographic detail how capitalism does and does not pervade people's everyday experiences. This book aims to further contribute to a much-needed understanding of how discourses operate in the co-constructions of capitalist and anti-capitalist imaginaries and instantiated realities and practices as narrated, lived, and embodied by people and material artifacts. This book is vital reading for students and researchers working in the fields of applied linguistics, discourse analysis and cultural studies, as well as those interested in understanding capitalism and questioning how to live beyond it."
    Note: Includes bibliographical references and index
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  • 7
    Online Resource
    Online Resource
    Cheltenham, UK : Edward Elgar Publishing | Cheltenham : Edward Elgar Publishing
    ISBN: 9781789908633
    Language: English
    Pages: 1 Online-Ressource (xi, 172 Seiten)
    Series Statement: Elgaronline
    Series Statement: Edward Elgar books
    Parallel Title: Erscheint auch als Daim, Tugrul U., 1967 - Digital transformations
    DDC: 658.4038
    RVK:
    RVK:
    Keywords: Digitalisierung ; Bergbau ; Technischer Fortschritt ; Theorie ; Welt ; Information technology Management ; Bibliometrics ; Patents Data processing ; Social networks Research ; Data processing ; Technological innovations ; Web usage mining ; Bibliometrics ; Information technology ; Management ; Patents ; Data processing ; Technological innovations ; Electronic books ; Digitale Revolution
    Abstract: "Technology is not just limited to technology companies, it impacts sectors such as healthcare, agriculture, and security. In the last few decades, countries, too, have started developing technologies or integrating technologies into their systems. As a result, all countries, regardless of size, need to understand the management of engineering and technology concepts. Digital Transformations reviews fundamentals and applications through existing and emerging technologies all around the world. Big data availability and the emergence of new tools provide opportunities to detect the emergence of new technologies. Some of the major elements of such analyses include bibliometrics, patent analysis and social network analysis. The authors focus on these three tools and demonstrate their use through applications such as Blockchain, Artificial Intelligence, Robotics, 3D printing, Wireless Power, Autonomous and Electric Driving, and Smart Homes. Through the examination of cases based on emerging technologies, the book provides a spectrum of these recent applications and serves as a reference for professionals, researchers and students on fundamentals of technology utilization tools"--
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  • 8
    Online Resource
    Online Resource
    Cham : Springer International Publishing
    ISBN: 9783030931896
    Language: English
    Pages: 1 Online-Ressource (xiii, 210 Seiten)
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    DDC: 303.372
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    Keywords: Social Justice ; Economic Sociology ; Economic Geography ; Social Policy ; Mathematical Statistics ; Social justice ; Economic sociology ; Economic geography ; Social policy ; Mathematical statistics ; Theorie ; Soziale Ungleichheit ; Electronic books ; Soziale Ungleichheit ; Theorie
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 9
    Online Resource
    Online Resource
    Berlin, Heidelberg : Springer Berlin Heidelberg | Berlin, Heidelberg : Imprint: Springer
    ISBN: 9783662639825
    Language: English
    Pages: 1 Online-Ressource (XVIII, 655 p. 39 illus., 28 illus. in color.)
    Edition: 3rd ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Novales, Alfonso, 1952 - Economic growth
    RVK:
    Keywords: Wachstumstheorie ; Endogenes Wachstumsmodell ; Stochastisches Wachstumsmodell ; Numerisches Verfahren ; Computerunterstützung ; Theorie ; Economic growth. ; Economic theory. ; Computer mathematics. ; Applied mathematics. ; Engineering mathematics. ; Macroeconomics. ; Econometrics. ; Economic development. ; Mathematics—Data processing. ; Social sciences—Mathematics. ; Business cycle theory ; Dynamic stochastic general ; Growth theory ; Continuous time analysis ; Discrete time analysis ; Endogenous growth models ; Monetary policy ; Neoclassical growth model ; Bayesian inference ; Bayesian estimation ; Matlab ; Kalman Filter ; Frequentist estimation ; Linear and nonlinear solution methods for DSGE models ; Economic development Mathematical models ; Business cycles Mathematical models ; Monetary policy Mathematical models ; Stochastic processes ; Econometrics ; Economics ; Economics, Mathematical ; Economics/Management Science ; Endogenous growth (Economics) ; Macroeconomics ; Wachstumstheorie ; Allgemeines Gleichgewichtsmodell ; Numerisches Verfahren
    Abstract: Introduction -- The Neoclassical GrowthModel Under a Constant Savings Rate -- Optimal Growth: Continuous Time Analysis -- Optimal Growth: Discrete Time Analysis -- Numerical Solution Methods -- Endogenous Growth Models -- Additional Endogenous Growth Models -- Growth in Monetary Economies: Steady-State Analysis of Monetary Policy -- Transitional Dynamics in Monetary Economies: Numerical Solutions -- Empirical Methods 1: Frequentist Estimation -- Empirical Methods 2: Bayesian Estimation -- Mathematical Appendix.
    Abstract: This is the third corrected and extended edition of a book on deterministic and stochastic Growth Theory and the computational methods needed to produce numerical solutions. Exogenous and endogenous growth, non-monetary and monetary models are thoroughly reviewed. Special attention is paid to the use of these models for fiscal and monetary policy analysis. Models under modern theories of the Business Cycle, New Keynesian Macroeconomics, and Dynamic Stochastic General Equilibrium models, can be all considered as special cases of economic growth models, and they can be analyzed by the theoretical and numerical procedures provided in the textbook. Analytical discussions are presented in full detail. The book is self-contained and it is designed so that the student advances in the theoretical and the computational issues in parallel. Spreadsheets are used to solve simple examples. Matlab files are provided on an accompanying website to illustrate theoretical results from all chapters as well as to simulate the effects of economic policy interventions. The logical structure of these program files is described in "Numerical exercise"-type of sections, where the output of these programs is also interpreted. The third edition corrects a few typographical errors, includes two new and original chapters on frequentist and Bayesian estimation, and improves some notation.
    URL: Cover
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  • 10
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030912314
    Language: English
    Pages: 1 Online-Ressource (195 illus., 97 illus. in color. eReference.)
    Edition: 3rd ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Keywords: Kapitalanlage ; Finanzmarkt ; Finanzdienstleistung ; Kapitalmarkttheorie ; Portfolio-Management ; Unternehmensfinanzierung ; Theorie ; Welt ; USA ; Business enterprises—Finance. ; Accounting. ; Financial engineering. ; Financial statements. ; Financial risk management. ; Econometrics. ; Financial Management ; Financial Markets and Instruments ; Financial Technology ; International Finance ; Financial Econometrics ; Portfolio Management ; Capital asset pricing model (CAPM) ; Security Analysis ; Credit Derivatives ; Credit Risk ; Capital Budgeting ; Aufsatzsammlung ; Bank ; Kapitalmarkt ; Kreditwesen ; Kreditmarkt ; Finanzmanagement ; Finanzwirtschaft
    Abstract: Terms and Essays -- Deposit Insurance Schemes -- Gramm-Leach-Bliley Act: Creating a New Bank for a New Millennium -- Pre-funded Coupon and Zero-Coupon Bonds: Cost of Capital Analysis -- Intertemporal Risk and Currency Risk -- Credit Derivatives -- Foreign exchange risk premium and policy uncertainty -- Treasury Inflation-Protected Securities -- Asset Pricing Models -- Conditional Asset Pricing -- Conditional Performance Evaluation -- Working Capital and Cash Flow -- Evaluating Fund Performance Within the Stochastic Discount Factor Framework -- Duration Concepts, Analysis, and Applications -- Loan Contract Terms -- Chinese A and B Shares -- Decimal Trading in the U.S. Stock Markets -- The 1997 NASDAQ Trading Rules -- Reincorporation -- Mean Variance Portfolio Allocation -- Online Trading -- A Critical Evaluation of the Portfolio Performance Indices Under Rank Transformation -- Corporate Failure: Definitions, Methods, and Failure Prediction Models -- Main Bank Relationships, Debt Structure, and Innovation in Japan -- Term Structure: Interest Rate Models -- Review of REIT and MBS -- Experimental Economics and the Theory of Finance -- Merger and Acquisition: Definitions, Motives, and Market Responses -- Multistage Compound Real Options: Theory and Application -- Market Efficiency Hypothesis -- The Microstructure/Micro-Finance Approach to Exchange Rates -- Arbitrage and Market Frictions -- Fundamental Tradeoffs in the Publicly Traded Corporation -- The Mexican Peso Crisis -- Methods for Portfolio Performance Evaluation -- Call Auction Trading -- Market Liquidity -- Market Makers -- Structure of Securities Markets -- Accounting Scandals and Implications for Directors: Lessons from Enron -- Agent-Based Models of Financial Markets -- The Asian Bond Market -- Cross-Border Mergers and Acquisitions -- Jump Diffusion Model -- Networks, Nodes, and Priority Rules -- The Momentum Trading Strategy -- Equilibrium Credit Rationing and Monetary Nonneutrality in a Small Open Economy -- Policy Coordination Between Wages and Exchange Rates in Singapore -- The Le Chatelier Principle of the Capital Market Equilibrium -- MBS Valuation and Prepayments -- The Impacts of IMF Bailouts in International Debt Crises -- Corporate Governance: Structure and Consequences -- A Survey Article on International Banking -- Hedge Funds: Overview, Strategies, and Trends -- An Appraisal of Modeling Dimensions for Performance Appraisal of Global Mutual Funds -- Structural Credit Risk Models: Endogenous Versus Exogenous Default -- Arbitrage Opportunity Set and the Role of Corporations -- Equity Premium Puzzle: The Distributional Approach -- Understanding Ginnie Mae Reverse Mortgage H-REMICs: Its Programs and Cashflow Analysis -- An Analysis of Risk Treatment in the Field of Finance -- The Trading Performance of Dynamic Hedging Models: Time Varying Covariance and Volatility Transmission Effects -- Portfolio Insurance Strategies -- Time-Series and Cross-Sectional Tests of Asset Pricing Models -- Unified Model Arbitrage-free Term Structure of Flow Risks -- A Comparison of Formulas to Compute Implied Standard Deviation -- Securities Transaction Taxes: Literature and Key Issues -- Financial Control and Transfer Pricing -- Alternative Models for Evaluating Convertible Bond: Review and Integration -- A Rationale for Hiring Irrationally Overconfident Managers -- The Statistical Distribution Method, the Decision-Tree Method and Simulation Method for Capital Budgeting Decisions -- Valuation of Interest Tax Shields -- Usefulness of Cash Flow Statements -- Do CEO Gender and Marital Status Affect Firm’s R&D and Value? An Empirical Analysis Using Nonlinear Models -- Three alternative methods for estimating hedge ratios -- Credit Risk Modeling: A General Framework -- Bankruptcy prediction studies across countries using Multiple Criteria Linear Programming (MCLP) data mining approaches -- Application of Difference-in-Differences Strategies in Finance: The Case of Natural Disasters and Bank Responses -- Financial Panel Data Models, Strict versus Contemporaneous Exogeneity, and Durbin-Wu-Hausman Specification Tests -- Accruals and the Asymmetric Timeliness of Earnings: a Decomposition Analysis -- Computer Technology for Financial Service -- Local Volatility Interest Rate Model -- Applications of logistic regression and hazard method in accounting and finance research -- Cube Root Utility Theory -- A Global Comparative Study of Impact Investments Research in Academic Institutions -- Financial Crisis, Capital Requirement and Stress Tests: Evidence from the Extreme Value and Stable Paretian Estimates -- The Economics of and Accounting for Lease Transactions -- Pension accounting, inside Debt, and capital structure -- The Role of Earnings Management in Equity Valuation -- The applications of machine learning in accounting and auditing research -- Internal capital budgeting and allocation in financial firms -- Job Security and CEO Compensation -- Tail-risk protection: Machine Learning meets modern Econometrics -- Structural Breaks in Financial Panel Data -- More on Equilibrium Credit Rationing and Interest Rates: A Theory with New Evidence -- The effect of Basel III on banks' lending -- Mortgage Analysis -- A History of Commercially Available Risk Models -- Short Selling Activity and Effects on Financial Markets and Corporate Decisions -- Simultaneous Equation Models for Financial Planning and Forecasting -- Alternative errors-in-variables models and their applications in finance research -- Optimal Payout Ratio under Uncertainty and the Flexibility Hypothesis: Theory and Empirical Evidence -- Mergers and Acquisitions: Principles and Practices -- Accrual Accounting and Risk: Abnormal Sales Growth and Accruals Quality and Returns -- Applications of Book-Tax Difference in Accounting and Finance Research -- Evaluating Portfolio Risk Management: A New Evidence from DCC Models and Wavelet Approach -- Cash Conversion Cycle and Corporate Performance: Global Evidence -- How Consistent are the Judges of Portfolio Performance? -- Entropy and the Value of Information for Investors -- A Fuzzy Real Option Valuation Approach To Capital Budgeting Under Uncertainty Environment.
    Abstract: The Encyclopedia of Finance comprehensively covers the broad spectrum of terms and topics relating finance from asset pricing models to option pricing models to risk management and beyond. This third edition is comprised of over 1,300 individual definitions, chapters, appendices and is the most comprehensive and up-to-date resource in the field, integrating the most current terminology, research, theory, and practical applications. It includes 200 new terms and essays; 25 new chapters and four new appendices. Showcasing contributions from an international array of experts, the revised edition of this major reference work is unparalleled in the breadth and depth of its coverage.
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  • 11
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030920586
    Language: English
    Pages: 1 Online-Ressource (XXIII, 343 p. 86 illus., 84 illus. in color.)
    Edition: 4th ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
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    Keywords: Geldpolitik ; Finanzpolitik ; Wirtschaftspolitik ; Makroökonomik ; Theorie ; Macroeconomics. ; Economic policy. ; Econometrics. ; Finance. ; macroeconomic policy ; fiscal policy ; monetary policy ; Modern Monetary Theory ; asset-price bubble ; Covid-19 ; inflation ; supply-side model ; Keynesian model ; Makroökonomie ; Finanzpolitik ; Geldpolitik ; Wirtschaftspolitik
    Abstract: Chapter 1. Introduction and Overview of the Fourth Edition -- Chapter 2. National Income Accounts -- Chapter 3. Budget Deficits, Trade Deficits and Global Capital Flows: The National Savings Identity -- Chapter 4. Aggregate Demand: Setting the Stage for Demand-Side Stabilization -- Chapter 5. Demand-Side Stabilization: Overheating, Hard Landing, and Everything in Between -- Chapter 6. Long-Term Interest Rates, the Yield Curve, and Hyperinflation -- Chapter 7. ISLM: The Engine Room -- Chapter 8. The Classical Model -- Chapter 9. The Keynesian Model -- Chapter 10. The Supply-Side Model and the New Economy -- Chapter 11. After Covid: MMT and other Major Global Macropolicy Issues -- Chapter 12. Central Banks and Monetary Policy.
    Abstract: This book is an applications-oriented text designed for individuals who desire a hands-on approach to analyzing the effects of fiscal and monetary policies. Significantly updated for the fourth edition, the text provides an understanding of the global economy in the wake of the COVID crisis, discussing topics such as pandemic related supply and demand-side shocks, the role of Modern Monetary Theory (MMT) in financing COVID rescue plans, the effect of the US, India, Eurozone and China’s post-COVID economies on emerging and transitioning economies, and the resurgence of inflation. This edition includes deeper coverage on the issue of budget deficit sustainability and on trade wars, especially in a global context, and revisits the life cycles of speculative asset price (SAP) bubbles, especially in the housing markets and in SPACs. The fourth edition contains several brand-new cases and media articles that are carefully positioned to relate explicitly to theory, and to look ahead to and preempt global macro situations and polices in the years to come. MBA students and Executive MBA students who appreciate the importance of monetary and fiscal analysis will find this text to be right on target. Financial analysts and individual investors who need to strip away economic myths and jargon and systematically examine and understand the effects of macro policies on variables such as inflation, output, employment and interest rates, will also find the book extremely useful.
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  • 12
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031059292
    Language: English
    Pages: 1 Online-Ressource (XXI, 334 p. 62 illus. in color.)
    Edition: 2nd ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Umweltökonomik ; Umweltpolitik ; Theorie ; Welt ; Environmental economics. ; Equilibrium (Economics). ; Power resources. ; Economic policy. ; Climatology. ; Environmental policy ; Equilibrium analysis ; Climate change ; Overfishing ; International environmental problems ; Market economy ; Public goods ; Command-and-Control policy ; Price-Standard approach ; International environmental commodities ; Trade and the environment ; Basics of environmental economics ; Umweltökonomie
    Abstract: Introduction -- PART I THE ENVIRONMENTAL MOVEMENT -- Differing Views on the Environment -- The International Dimension of the Environment -- PART II THEORETICAL ENVIRONMENTAL ECONOMICS -- Basics of Environmental Economics -- Allocation Problems in a Market Economy -- The Internalization of External Effects -- Public Goods in Environmental Economics -- PART III ENVIRONMENTAL POLICY -- From Theory to Policy: Information Deficits -- Command-and-Control Policy -- The Price-Standard Approach to Environmental Policy -- International Environmental Commodities and the Principal-Agent-Approach -- Holistic Environmental Policies -- PART IV THE ENVIRONMENT IN THE GLOBALIZED WORLD -- Trade and the Environment: The Legal Context -- Overfishing -- Integration of Trade and the Environment.
    Abstract: Revised and updated for the 2nd edition, this textbook provides an analysis and investigation of the most essential areas of environmental economic theory and policy, including international environmental problems. The approach is based on standard theoretical tools, in particular equilibrium analysis, and aims to demonstrate how economic principles can help to understand environmental issues and guide policymakers. Current topics including climate change, overfishing and integrated approaches to environmental policies are carefully analyzed in this framework, and a multitude of practical examples from various parts of the world is presented. Addressing undergraduate and graduate students, this book is a must read for everybody interested in a better understanding of environmental economics. .
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  • 13
    Online Resource
    Online Resource
    Berlin, Heidelberg : Springer Berlin Heidelberg | Berlin, Heidelberg : Imprint: Springer
    ISBN: 9783662658468
    Language: English
    Pages: 1 Online-Ressource (XVIII, 310 Seiten, 21 illus.)
    Edition: 2nd ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Peren, Franz W., 1959 - Statistics for business and economics
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    Keywords: Statistische Methode ; Wirtschaftsstatistik ; Theorie ; Econometrics. ; Statistics . ; Business mathematics. ; Social sciences—Mathematics. ; Statistics formulary ; Descriptive statistics ; Inductive statistics ; Statistics for economics ; Probability calculation ; Peren-Clement Index (PCI) ; Statistical estimation methods ; Confidence intervals ; Statistical testing methods ; Business statistics ; Statistical signs and symbols ; Lehrbuch ; Wirtschaftsstatistik ; Wirtschaftsmathematik
    Abstract: Statistical Signs and Symbols -- Descriptive Statistics -- Inferential Statistics -- Probability Calculation -- Statistical Tables -- Bibliography -- Index.
    Abstract: This 2nd edition compendium contains and explains essential statistical formulas within an economic context. Expanded by more than 100 pages compared to the 1st edition, the compendium has been supplemented with numerous additional practical examples, which will help readers to better understand the formulas and their practical applications. This statistical formulary is presented in a practice-oriented, clear, and understandable manner, as it is needed for meaningful and relevant application in global business, as well as in the academic setting and economic practice. The topics presented include, but are not limited to: statistical signs and symbols, descriptive statistics, empirical distributions, ratios and index figures, correlation analysis, regression analysis, inferential statistics, probability calculation, probability distributions, theoretical distributions, statistical estimation methods, confidence intervals, statistical testing methods, the Peren-Clement index, and the usual statistical tables. Given its scope, the book offers an indispensable reference guide and is a must-read for undergraduate and graduate students, as well as managers, scholars, and lecturers in business, politics, and economics.
    URL: Cover
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  • 14
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031162411
    Language: English
    Pages: 1 Online-Ressource (XIII, 277 Seiten) , Illustrationen
    Edition: 3rd ed. 2022.
    Series Statement: Contributions to Finance and Accounting
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
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    Keywords: Bank ; Industrieökonomik ; Struktur-Verhalten-Ergebnis- Paradigma ; Internationale Bank ; Bankenregulierung ; Theorie ; Financial services industry. ; Industrial organization. ; Business enterprises—Finance. ; Bank Behavior ; Bank Market Structure ; Bank Regulation ; Banking ; Banking Industry ; Industrial Economics ; Industrial Organization ; Industrial Organization of Banking ; Lehrbuch ; Bank ; Wirtschaftliches Verhalten ; Marktstruktur ; Regulierung ; Industrieökonomie
    Abstract: This book provides an evaluation of the industrial organization of banking with a focus on the interrelationship among bank behavior, market structure, and regulation. It addresses a wide range of public policy topics, including bank competition and risk, international banking, antitrust issues, and capital regulation. New to this edition, which has been updated throughout, is a broadened consideration of alternative theories of competition among banks, which includes discussions of such issues as the implications of large increases in bank reserve holdings in recent years, effects of nonprice competition through quality rivalry, analysis of mixed market structures involving both large and small banks, and international interactions of banks and policymakers. The intent of the book is to serve as a learning tool and reference for graduate students, academics, bankers, and policymakers seeking to better understand the industrial organization of the banking sector and the effects of banking regulations.
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  • 15
    Online Resource
    Online Resource
    Berlin, Heidelberg : Springer Berlin Heidelberg | Berlin, Heidelberg : Imprint: Springer
    ISBN: 9783662659458
    Language: English
    Pages: 1 Online-Ressource (XVIII, 377 p. 63 illus., 30 illus. in color.)
    Edition: 2nd ed. 2022.
    Series Statement: Advanced Studies in Theoretical and Applied Econometrics 49
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Cerulli, Giovanni, 1973 - Econometric evaluation of socio-economic programs
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    Keywords: Projektbewertung ; Wirkungsanalyse ; Mikroökonometrie ; Theorie ; Econometrics. ; Statistics . ; International economic relations. ; Economic policy. ; Ex-Post Evaluation ; Micro-Econometric Analysis ; Program Evaluation ; Stata Routines ; Treatment Effects ; Econometrics of Program Evaluation ; Quantitative Economics ; Regression-Discontinuity Design . ; Statistical Design for Counterfactual Evaluation ; Econometric Software ; Stata ; Lehrbuch ; Sozialpolitik ; Wirtschaftspolitik ; Wirkungsanalyse ; Evaluation ; Ex-post-Beurteilung ; Mikroökonomisches Modell
    Abstract: Chapter 1. An Introduction to the Econometrics of Program Evaluation -- Chapter 2. Methods Based on Selection on Observables -- Chapter 3. Methods Based on Selection on Unobservables -- Chapter 4. Local Average Treatment Effect and Regression-Discontinuity-Design -- Chapter 5. Difference-in-differences with many pre- and post-treatment times -- Chapter 6. Synthetic Control Method.
    Abstract: This book provides advanced theoretical and applied tools for the implementation of modern micro-econometric techniques in evidence-based program evaluation for the social sciences. The author presents a comprehensive toolbox for designing rigorous and effective ex-post program evaluation using the statistical software package Stata. For each method, a statistical presentation is developed, followed by a practical estimation of the treatment effects. By using both real and simulated data, readers will become familiar with evaluation techniques, such as regression-adjustment, matching, difference-in-differences, instrumental-variables, regression-discontinuity-design, and synthetic control method, and are given practical guidelines for selecting and applying suitable methods for specific policy contexts. The second revised and extended edition features two new chapters on some recent development of difference-in-differences. Specifically, chapter 5 introduces advanced difference-in-differences methods when many times are available and treatment can be either time-varying or fixed at a specific time. Chapter 6 introduces the synthetic control method, a treatment effect estimation approach suitable when only one unit is treated. Both chapters present applications using the software Stata. .
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  • 16
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030801588
    Language: English
    Pages: 1 Online-Ressource (VII, 434 p. 1 illus.)
    Edition: 4th ed. 2022.
    Series Statement: Classroom Companion: Economics
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
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    Keywords: Ökonometrie ; PC-Software ; Theorie ; EViews ; Stata ; Econometrics. ; Statistics . ; Social sciences—Mathematics. ; Mathematics—Philosophy. ; Econometrics ; Empirical research ; Panel data ; Solutions manual ; Time series analysis ; Handbuch ; Ökonometrie
    Abstract: What Is Econometrics? -- A Review of Some Basic Statistical Concepts -- Simple Linear Regression -- Multiple Regression Analysis -- Violations of the Classical Assumptions -- Distributed Lags and Dynamic Models -- The General Linear Model: The Basics -- Regression Diagnostics and Specification Tests -- Generalized Least Squares -- Seemingly Unrelated Regressions -- Simultaneous Equations Model -- Pooling Time-Series of Cross-Section Data -- Limited Dependent Variables -- Time-Series Analysis.
    Abstract: This Fourth Edition updates the "Solutions Manual for Econometrics" to match the Sixth Edition of the Econometrics textbook. It adds problems and solutions using latest software versions of Stata and EViews. Special features include empirical examples replicated using EViews, Stata as well as SAS. The book offers rigorous proofs and treatment of difficult econometrics concepts in a simple and clear way, and provides the reader with both applied and theoretical econometrics problems along with their solutions. These should prove useful to students and instructors using this book.
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  • 17
    ISBN: 9783837654240 , 3837654249
    Language: English
    Pages: 332 Seiten , Diagramme , 22.5 cm x 14.8 cm
    Series Statement: Political science Volume 107
    Series Statement: Edition Politik
    Parallel Title: Erscheint auch als Peter, Lukas, 1981 - Democracy, markets and the commons
    Parallel Title: Erscheint auch als Peter, Lukas, 1981 - Democracy, markets and the commons
    Dissertation note: Dissertation University of Zurich 2017
    DDC: 330.12
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    Keywords: Gemeingüter ; Kollektives Handeln ; Ökologie ; Demokratie ; Öffentliche Güter ; Staatliche Einflussnahme ; Marktmechanismus ; Freiheit ; Gemischte Wirtschaftsordnung ; Theorie ; Demographic transition ; Population Economic aspects ; Hochschulschrift ; Marktwirtschaft ; Demokratie ; Allmende ; Öffentliches Gut ; Gemeineigentum ; Humanökologie
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  • 18
    ISBN: 9781788976480
    Language: English
    Pages: 1 Online-Ressource (672 Seiten)
    Series Statement: Handbooks of research methods and applications series
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Handbook of research methods and applications in empirical microeconomics
    DDC: 338.5
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    Keywords: Mikroökonometrie ; Theorie ; Microeconomics ; Electronic books ; Übersichtsarbeit ; Handbuch ; Aufsatzsammlung ; Forschungsmethode ; Empirische Forschung ; Mikroökonomie ; Stata ; R
    Abstract: Contents: Introduction to the handbook of research methods and applications in empirical microeconomics / Nigar Hashimzade and Michael A. Thornton -- Part I: Econometric methods in microeconomics -- 1. Linear dynamic panel data models / Ryo Okui -- 2. Spatial autoregressive nonlinear models in r with an empirical application in labour economics / Anna Gloria Billé -- 3. Econometric analyses of auctions: A selective review / Tong Li and Xiaoyong Zheng -- 4. An Introduction to flexible methods for policy evaluation / Martin Huber -- Part II: Households, businesses and societies -- 5. Econometric models of fertility / Alfonso Miranda and Pravin K. Trivedi -- 6. Measuring discrimination in the labour market / Emmanuel Duguet -- 7. Microeconomic models for designing and evaluating tax-transfer systems / Ugo Colombino -- 8. Bounds on counterfactuals in semiparametric discrete-choice models / Khai X. Chiong, Yu-Wei Hsieh and Matthew Shum -- 9. Bank performance analysis / Natalya Zelenyuk and Valentin Zelenyuk -- 10. Empirical methods in social epidemiology / Christopher F. Baum -- Part III: Policy evaluation and causality -- 11. Policy evaluation using causal inference methods / Denis Fougère and Nicolas Jacquemet -- 12. Regression discontinuity designs in policy evaluation / Otávio Bartalotti, Marinho Bertanha and Sebastian Calonico -- 13. Measuring the effect of health events in the labour market / Emmanuel Duguet -- Part IV: Networks and big data in microeconomics -- 14. Exploring social media: Twitteronomics and beyond / Tho Pham, Piotr Śpiewanowski and Oleksandr Talavera -- 15. Econometrics of networks with limited access to network data: A literature survey / Pedro C.L. Souza -- 16. Machine learning for causal inference: Estimating heterogeneous treatment effects / Vishalie Shah, Noemi Kreif and Andrew M. Jones -- Part V: Stata and r in microeconometric applications -- 17. Stochastic frontier analysis in stata: Using existing and coding new commands / Oleg Badunenko -- 18. Modern r workflow and tools for microeconometric data analysis / Giovanni Baiocchi -- 19. Robust inference in panel data microeconometrics, using r / Giovanni Millo -- 20. Econometric estimation of the "constant elasticity of substitution" function in r: The miceconces package / Arne Henningsen, Géraldine Henningsen and Gergő Literáti -- Index.
    Abstract: "Written in a comprehensive yet accessible style, this Handbook introduces readers to a range of modern empirical methods with applications in microeconomics, illustrating how to use two of the most popular software packages, Stata and R, in microeconometric applications. International contributors expertly investigate the development of advanced methods driven by the accumulation of numerous data sets at the level of individuals, households, and firms, and by an increase in the capacity and speed of computers. The Handbook highlights that, while the more traditional empirical methods were largely limited to establishing correlations, these new methods aim to uncover causality. Examination of these advances shows new possibilities for applied research in microeconomics in the estimation of sophisticated structural models and the evaluation of policy interventions. This insightful Handbook is a must-read for graduate students and instructors in applied microeconomics as well as researchers in government departments and academia pursuing modern advanced methods of policy evaluation and data analysis"--
    Note: Includes bibliographical references and index
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  • 19
    Online Resource
    Online Resource
    Wiesbaden : Springer Gabler
    ISBN: 9783658286149
    Language: German
    Pages: 1 Online-Ressource (XVI, 96 Seiten)
    Edition: 2. Auflage
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Keywords: Derivat ; Finanzanalyse ; Aktie ; Aktienoption ; Zinsderivat ; Währungsderivat ; Theorie ; Finance. ; Economic theory. ; Business mathematics.
    Abstract: Die „Formelsammlung Aktien-, Zins- und Währungsderivate“ bietet eine strukturelle Ergänzung zum Buch „Aktien-, Zins- und Währungsderivate – Märkte, Einsatzmöglichkeiten, Bewertung und Risikoanalyse“ und richtet sich sowohl an Studierende an Fachhochschulen und Universitäten mit den Schwerpunkten Kapitalmarkt, Bankbetriebslehre und Unternehmensfinanzierung als auch an Praktiker in den Bereichen Treasury, Risikocontrolling und Innenrevision von Banken oder Industrieunternehmen. Ihnen wird ein übersichtliches Nachschlagewerk der Formeln und damit ein systematischer Zugang zur Bewertung und Risikoanalyse von festverzinslichen Finanzinstrumenten und Derivaten an die Hand gegeben werden. Hierbei konzentriert sich diese Formelsammlung nicht nur auf die im genannten Fachbuch dargestellten Formeln, sondern präzisiert es hinsichtlich der dort aus didaktischen Gründen oftmals skizzierten Bewertungsideen. Der Inhalt • Grundprinzipien der Finanzmathematik und der Zinsrechnung • Forwards und Futures • Swaps • Optionen Die Autorin Prof. Dr. Susanne Kruse ist Expertin für Finanzmathematik und seit 2015 Professorin an der Fakultät für Wirtschaftswissenschaften der Hochschule Karlsruhe – Technik und Wirtschaft. Zuvor hatte sie zehn Jahre eine Professur an einer privaten Bankenhochschule inne und sammelte Berufserfahrung in der Finanzindustrie, die sie in ihre Lehre und in dieses Buch einfließen lässt.
    Description / Table of Contents: Grundprinzipien der Finanzmathematik und der Zinsrechnung -- Bewertung von festverzinslichen Finanzinstrumenten -- Ermittlung von Zinsstrukturkurven -- Risiikoanalyse zinstragender Finanzinstrumente -- Forward- und Future-Geschäfte -- Aktienforwards und -futures -- Zinsforwards und -futures -- Devisenforwards und -futures -- Equity Swaps -- Zinsswaps -- Währungsswaps -- Einführung in die Optionsgeschäfte -- Aktienoptionen -- Zinsoptionen -- Devisenoptionen.
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  • 20
    ISBN: 9783658286125
    Language: German
    Pages: 1 Online-Ressource (XXVIII, 406 Seiten)
    Edition: 2. Auflage
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Kruse, Susanne Aktien-, Zins- und Währungsderivate
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    Keywords: Derivat ; Finanzanalyse ; Aktie ; Aktienoption ; Zinsderivat ; Währungsderivat ; Theorie ; Finance. ; Macroeconomics. ; Management. ; Lehrbuch ; Lehrbuch ; Derivat ; Optionshandel ; Risikoanalyse
    Abstract: Praxisorientiert und detailliert präsentiert dieses Buch die Welt der Derivate. Im Fokus stehen dabei Aktien-, Zins- und Währungsderivate, da diese Produkte in nahezu jedem Kreditinstitut zur Risikosteuerung, in deren Kundengeschäft oder im Corporate Treasury größerer international tätiger Unternehmen eingesetzt werden. Die Konzentration auf Aktien-, Zins- und Währungsderivate ermöglicht zudem eine einfache Einführung in die Bewertung und Risikoanalyse von Derivaten ohne tiefere mathematische Vorkenntnisse vorauszusetzen. Didaktisch setzt dieses Buch auf eine Vielzahl von Fallbeispielen, anhand derer sich die Einsatzmöglichkeiten von Derivaten in der Berufspraxis erschließen. Zusätzlich bietet es einen umfangreichen Einblick in die Umsetzung der dargestellten Bewertungsmodelle, nicht ohne auf die damit verbundenen Herausforderungen in der Praxis hinzuweisen. In der zweiten Auflage wurden neben einer durchgehenden Überarbeitung und Aktualisierung dieses Buches die vorgestellten Bewertungsansätze im Hinblick auf die in der Praxis im Nachgang zur Finanzkrise auftretende Problematik negativer Zinssätze diskutiert und erweitert. Ebenfalls wurden Veränderungen an den Derivatebörsen, insbesondere der EUREX, sowie die Regulierung des OTC-Derivatemarktes im Nachgang zur Finanzkrise berücksichtigt. Der Inhalt • Finanzmathematische Grundlagen • Derivatemärkte • Forwards und Futures • Swaps • Optionen Die Autorin Prof. Dr. Susanne Kruse ist Expertin für Finanzmathematik und seit 2015 Professorin an der Fakultät für Wirtschaftswissenschaften der Hochschule Karlsruhe – Technik und Wirtschaft. Zuvor hatte sie zehn Jahre eine Professur an einer privaten Bankenhochschule inne und sammelte Berufserfahrung in der Finanzindustrie, die sie in ihre Lehre und in dieses Buch einfließen lässt.
    Description / Table of Contents: Grundlagen der Finanzmathematik -- Derivatemärkte -- Forwards und Futures -- Swaps -- Optionen -- Aufgaben zur Vertiefung.
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  • 21
    Online Resource
    Online Resource
    Northampton : Edward Elgar Publishing
    ISBN: 9781788972154
    Language: English
    Pages: 1 Online-Ressource (192 Seiten)
    Parallel Title: Erscheint auch als Toporowski, Jan Credit and crisis from Marx to Minsky
    DDC: 332.7
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    Keywords: Monetäre Konjunkturtheorie ; Finanzkrise ; Schuldenkrise ; Theorie ; Credit ; Finance ; Economic history 20th century ; Credit ; Finance ; Economic history 20th century ; Cykl koniunkturalny ; Ekonomia ; Finanse ; Kryzys gospodarczy ; Kapitalizm ; Kryzysy gospodarcze ; Kryzysy gospodarcze 20 w. ; Kapitalizm Analiza marksistowska ; Kapitalizm Aspekt ekonomiczny ; Ekonomia Historia ; Finanse Historia ; Electronic books ; Kredit ; Finanzwirtschaft ; Wirtschaft ; Wirtschaftskrise ; Kapitalismus ; Wirtschaftswissenschaften ; Krisentheorie ; Geschichte ; Marx, Karl 1818-1883 ; Luxemburg, Rosa 1871-1919 ; Hawtrey, Ralph G. 1879-1975 ; Fisher, Irving 1867-1947 ; Keynes, John Maynard 1883-1946 ; Breit, Marek 1907-1942 ; Kalecki, Michał 1899-1970 ; Steindl, Josef 1912-1993 ; Simons, Henry C. 1899-1946 ; Minsky, Hyman P. 1919-1996 ; Krisentheorie
    Abstract: Contents: Part I: Capitalism and financial crisis -- 1. Marx and the monetary business cycle -- 2. Marx and the emergence of debt markets -- 3. Rosa luxemburg and the marxists on finance -- Part II: Critical theories of finance in the twentieth century: Unstable money and finance -- 4. Ralph hawtrey and the monetary business cycle -- 5. Irving fisher and debt deflation -- 6. John maynard keynes's financial theory of under-investment i: Towards doubt -- 7. John maynard keynes's financial theory of under-investment ii: Towards uncertainty -- Part III: Critical theories of finance in the twentieth century: corporate debt and crisis -- 8. The principle of increasing risk: Marek breit -- 9. The principle of increasing risk: Michal kalecki -- 10. The principle of increasing risk: Josef steindl and michal kalecki on profits and finance -- 11. The kalecki-steindl theory of financial fragility -- Part IV: Critical theories of finance in the twentieth century: The financial instability hypothesis -- 12. The monetary theory of kalecki and minsky -- 13. From money to minsky: Henry simons -- 14. The financial instability hypothesis -- Bibliography -- Index.
    Abstract: "This timely book studies the economic theories of credit cycles and disturbances in the 20th century, presenting a nuanced view of the role of finance in the economy after the financial crash of 2008. Focusing on the work of economists from Marx onwards, Jan Toporowski moves beyond conventional monetary theory to offer an insightful critical alternative to current financial macroeconomics. The book features an extended discussion of Marx's approach to credit and finance, new insights to Minsky's ideas and a reconsideration of the financial theories of Kalecki and Steindl. Economic researchers and postgraduate students seeking to extend their knowledge of critical approaches to finance will find this an invaluable read, as well as practitioners and policy makers who seek to understand financial instability and unstable markets. This will also be an insightful read for economic historians looking to understand the nuances of different key economic theories and their practical applications"--
    Note: Includes bibliographical references and index
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  • 22
    Book
    Book
    Cambridge, United Kingdom : Cambridge University Press
    ISBN: 9781108483216 , 9781108716550
    Language: English
    Pages: xv, 196 Seiten
    Series Statement: New departures in anthropology
    Parallel Title: Erscheint auch als Stafford, Charles, 1956 - Economic life in the real world
    DDC: 330.01/9
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    Keywords: Taiwan ; Wirtschaftskultur ; Wirtschaftspsychologie ; Feldforschung ; Theorie ; China ; Ökonomische Anthropologie ; Wirtschaftspsychologie ; Wirtschaftliches Verhalten
    Note: Literaturverzeichnis: Seiten 184-193
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