Financial Modelling
Insurance and Risk Management.- Single and Periodic Premiums for guaranteed Equity-Linked Life Insurance under Interest-Rate Risk: The "Lognormal+Vasicek" Case.- Solvency-Simulation in Non-Life Insurance.- A Multicriteria Classification: An Application to Italian Mutual Funds.- Asset Liability Matching for Pension Funds: A One-Period Model.- Asset Risk in a Liability Context: An Empirical Study for the Netherlands.- Bank Strategic Planning Process. A Multifactor Asset and Liability Risk Management Approach.- Index Tracking: Some Techniques and Results.- Stock Market Theory.- Expectations and News in an Imitative Stock-Market.- An Artificial Adaptive Speculative Stock Market.- Valuation of the Embedded Prepayment Option of Mortgage-Backed Securities.- The Effects on Optimal Portfolios of Shifts on a Risk Asset: The Case of Dependent Risky Returns.- Corporate Investment and Dividend Decisions under Differential Personal Taxation: A Note to Masulis and Trueman's Model.- A Decision Support System for the Evaluation of Bond Options in Imperfect Markets.- Pure Capital Rationing Problems: How to Bury Them and Why.- Pricing and Bargaining in Financial Markets.- APV Sensitivity with Respect to Interest Rates Fluctuations.- A Note on the Existence of Equilibrium Price Measures.- Bond Pricing through Bargaining.- Financial Markets Testing.- Risk Measurement and Size Effect on the Dutch Stock Market.- Conditional Risk and Predictability of Finnish Stock Returns.- Linear Models for Portfolio Selection and their Application to the Milano Stock Market.- Currency Markets.- When to use Currency Swaps. Determining the Expected Profit and Variance.- Currency Forecasting: An Investigation into Probability Judgement Accuracy.
| Erscheint lt. Verlag | 18.5.1994 |
|---|---|
| Reihe/Serie | Contributions to Management Science |
| Zusatzinfo | X, 364 p. |
| Verlagsort | Heidelberg |
| Sprache | englisch |
| Maße | 155 x 235 mm |
| Gewicht | 562 g |
| Themenwelt | Wirtschaft ► Allgemeines / Lexika |
| Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
| Wirtschaft ► Betriebswirtschaft / Management ► Unternehmensführung / Management | |
| Wirtschaft ► Volkswirtschaftslehre ► Ökonometrie | |
| Wirtschaft ► Volkswirtschaftslehre ► Wirtschaftspolitik | |
| Schlagworte | Capital Markets • Decision Theory • Entscheidungstheorie • Financial Modelling • Finanzierung • Forecasting • Kapitalmärkte • Simulation |
| ISBN-10 | 3-7908-0765-6 / 3790807656 |
| ISBN-13 | 978-3-7908-0765-3 / 9783790807653 |
| Zustand | Neuware |
| Informationen gemäß Produktsicherheitsverordnung (GPSR) | |
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