Publikationen
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Hofmann, Roland; Rother, Natanael,
2015.
In:
SSES Annual Congress 2015, Basel, 2-3 June 2015.
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Schwendner, Peter; Schüle, Martin; Hillebrand, Martin,
2015.
European government bond dynamics and stability policies : taming contagion risks.
In:
Financial Risk and Network Theory, Cambridge, United Kingdom, 9 September 2015.
Verfügbar unter: https://www.jbs.cam.ac.uk/fileadmin/user_upload/research/centres/risk/downloads/150909_slides_schwendner.pdf
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Schwendner, Peter; Schüle, Martin; Ott, Thomas; Hillebrand, Martin,
2015.
European government bond dynamics and stability policies : taming contagion risks.
Journal of Network Theory in Finance.
1(4), S. 1-25.
Verfügbar unter: https://doi.org/10.21314/JNTF.2015.012
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2015.
European government bond dynamics and stability policies : taming contagion risks [Poster].
In:
6th ESOBE Conference «Complexity in Economics», Gerzensee, 29. Oktober 2015.
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Schaltegger, Christoph; Angelini, Terenzio; Mäder, Beatrice; Hofmann, Roland,
2015.
St.Gallen:
Universität St.Gallen.
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Schaltegger, Christoph; Hofmann, Roland; Huwyler, Zacharias,
2015.
Finanzausgleich im Praxistest : eine Fallstudie aus dem Kanton Basel-Landschaft.
Die Volkswirtschaft.
2015(1-2), S. 41-45.
Verfügbar unter: https://dievolkswirtschaft.ch/de/2015/02/finanzausgleich-im-praxistest-eine-fallstudie-aus-dem-kanton-basel-landschaft/
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Papenbrock, Jochen; Schwendner, Peter,
2015.
Handling risk-on/risk-off dynamics with correlation regimes and correlation networks.
Financial Markets and Portfolio Management.
29(2), S. 125-147.
Verfügbar unter: https://doi.org/10.1007/s11408-015-0248-2
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Bachmann, Kremena; Hens, Thorsten,
2015.
Investment competence and advice seeking.
Journal of Behavioral and Experimental Finance.
6, S. 27-41.
Verfügbar unter: https://doi.org/10.1016/j.jbef.2015.03.001
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Rupf, Georg; Schnauss, Martin,
2015.
Die Bank.
2015(9), S. 30-33.
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Meier, Peter; Stoz, Jann; Weibel, Marc,
2015.
Portfolio risk management commentary : diversifying fat tails away.
Investment & Pensions Europe.
2015(Januar), S. 64.
Verfügbar unter: https://www.ipe.com/investment/briefing-investment/portfolio-risk-management-commentary-diversifying-fat-tails-away/10006177.article