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Showing results 78 to 97 of 440 < previous   next >
Issue DateTitleInvolved Person(s)
2006Corporate Governance von PensionskassenHofmann, Roland
2018Correlation influence networks for sentiment analysis in European sovereign bondsSchwendner, Peter; Schüle, Martin; Hillebrand, Martin
2019Correlation influence networks for sentiment analysis in European sovereign bondsSchwendner, Peter; Schüle, Martin; Hillebrand, Martin
2019Credit risk in banking : an introductionPosth, Jan-Alexander
6-Jul-2023Credit Suisse : les leçons d’un effondrementHofmann, Roland
6-Jul-2023Der Credit-Suisse-Kollaps : was es nun brauchtBraun, Markus; Hofmann, Roland
2020Cross-sectionally correlated measurement errors in two-pass regression tests of asset-pricing modelsGramespacher, Thomas; Bänziger-Aiba, Armin; Hilber, Norbert
31-May-2012Die Crux mit den Indizes für KunstpreiseRüstmann, Marco
Sep-2020Crypto currencies : an analysis of market liquidityZöbeli, Marco; Kley, Christoph; Stumpp, Bettina Eva
2014Currency correlations in various timeframes and what this means for trading strategiesSchwendner, Peter; Papenbrock, Jochen; Eichenberger, Alexander
2019Current European sovereign bond dynamicsSchwendner, Peter
2009Dach-Hedge-Funds : die Liquidität ist das ProblemMeier, Peter
1-Jul-2008Dach-Hedgefonds: stabile RenditenMeier, Peter; Dürr, Franziskus
2021Dark rate estimation in collusionBellert, Nicole
2017Data-driven risk analyticsSchwendner, Peter
2021Debt brake : the Swiss experienceHofmann, Roland
2022Deep partial hedgingHou, Songyan; Krabichler, Thomas; Wunsch, Marcus
2021Deep reinforcement learning on a multi-asset environment for tradingHirsa, Ali; Osterrieder, Jörg; Hadji Misheva, Branka; Posth, Jan-Alexander
29-Jun-2014Demande constante de hedge funds hors de SuisseAnhorn, Regina; Liechti, Oliver
2017Design-Prinzipien für das WissensmanagementSchnauss, Martin; Bachmann, Oliver