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Results 76-90 of 274 (Search time: 0.035 seconds).
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Issue DateTitleInvolved Person(s)
2021Nachhaltiges Anlegen in der Schweiz : Bedeutung und BeweggründeLehner, Selina; Studer, Rouwen
2021The role of managerial characteristics in FX risk management : who increases risk?Hecht, Andreas
2021Hedging goalsKrabichler, Thomas; Wunsch, Marcus
2021The determinants of corporate FX speculation : why firms increase riskHecht, Andreas
2021A critical analysis of Swiss sustainable funds regarding performance and sustainability contentAnhorn, Regina; Archer-Svoboda, Laura
2021A Python integration of practical asset allocation based on modern portfolio theory and its advancementsHilber, Norbert; Dubach, Philipp
2021Social responsibility in the time of uncertainty : a natural experimentMeyer, Julia
2021Effektivität Schweizer Wettbewerbspolitik : Bewertung des Aktienmarktes (1996– 2018)Günster, Andrea
2021Investor demand in syndicated bond issuances : stylised factsHillebrand, Martin; Mravlak, Marko; Schwendner, Peter
2021Deep reinforcement learning on a multi-asset environment for tradingHirsa, Ali; Osterrieder, Jörg; Hadji Misheva, Branka; Posth, Jan-Alexander
2021Hedge Funds in Asien : eine praxisnahe Analyse des K&Z Asien PortfoliosBoos, Dominik; Oertle, Florian
2021Gold as an asset class : review of a myth with regard to inflation protectionBrunner, Hans; Hohgardt, Holger; Meier, Farida S.
2021Analyse und Relevanz von Risikofaktoren im Kontext von NachranganleihenSchwendner, Peter; Ineichen, Cyrill
Nov-2020Climate indices for listed equity : comparing different methods to minimise climate risk exposureHadjikyriakou, Phanos; Orpiszewski, Tomasz; Posth, Jan-Alexander
Aug-2020Verantwortungsbewusstes Investieren : Pensionskassen als Vorreiter in der SchweizAnhorn, Regina
Results 76-90 of 274 (Search time: 0.035 seconds).