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Displaying results 1 to 5 of 5.

  1. Transparenz und Fairness auf einem einheitlichen europäischen Kapitalmarkt
    Published: 2007
    Publisher:  Hans-Böckler-Stiftung, Düsseldorf

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    Content information
    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    ISBN: 9783865930835; 3865930832
    Other identifier:
    9783865930835
    Series: Edition / Hans-Böckler-Stiftung ; 203
    Wirtschaft und Finanzen
    Subjects: Kapitalmarkt; Hedge Fund; Private Equity; Regulierung
    Other subjects: (stw)Finanzmarkt; (stw)Hedgefonds; (stw)Private Equity; (stw)Regulierung; (stw)EU-Staaten; (VLB-FS)Finanzmarkt; (VLB-FS)Kapitalmarkt; (VLB-FS)Finanzen; (VLB-FS)Hedge-Fonds; (VLB-PF)BC: Paperback; (VLB-WN)1787: HC/Wirtschaft/Internationale Wirtschaft; Graue Literatur
    Scope: 84 S., graph. Darst., 21 cm
    Notes:

    Literaturverz. S. 75 - 77

  2. Steuerliche Aspekte von Private-equity- und Hedge-Fonds
    unter Berücksichtigung der Unternehmenssteuerreform 2008
  3. Essays on the impact of institutional ownership on the market for corporate control
    Published: [2021]
    Publisher:  HHL Leipzig Graduate School of Management, Leipzig, Germany

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    Source: Union catalogues
    Language: English
    Media type: Dissertation
    Format: Print
    RVK Categories: QK 530
    Subjects: Corporate Governance; Institutioneller Anleger; Aktionärsstruktur; Investmentfonds; Index-Partizipationsschein; Hedge Fund; Risikomanagement
    Other subjects: (stw)Corporate Governance; (stw)Institutioneller Investor; (stw)Eigentümerstruktur; (stw)Investmentfonds; (stw)Indexderivat; (stw)Hedgefonds; (stw)Risikomanagement; (stw)Deutschland; Graue Literatur
    Scope: IX, 197 Seiten, 21 cm
    Notes:

    Dissertation, HHL Leipzig Graduate School of Management, 2021

  4. Hedge funds and their implications for financial stability
    Published: 2005
    Publisher:  Europ. Central Bank, Frankfurt am Main

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Occasional paper series / European Central Bank ; Eurosystem ; No. 34
    Subjects: Kapitalmarkt; Geldpolitik; Portfolio Selection; Risikomanagement; Hedge Fund
    Other subjects: (stw)Finanzmarkt; (stw)Geldpolitik; (stw)Portfolio-Management; (stw)Risikomanagement; (stw)EU-Staaten; (stw)Hedgefonds; Graue Literatur
    Scope: 73 S., zahlr. graph. Darst., 30 cm
    Notes:

    Literaturverz. S. 64 - 68. - Auch im Internet unter der Adresse www.ecb.int und ssrn.com/abstract_id=752094 verfügbar

  5. Career risk and market discipline in asset management
    Published: 2018
    Publisher:  Universitätsbibliothek Johann Christian Senckenberg, Frankfurt am Main

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Center for Financial Studies (Frankfurt am Main): CFS working paper series ; No. 602
    Subjects: Führungskraft; Hedge Fund; Berufslaufbahn; Liquidation; Geschäftsführergehalt; Vergütung; :z Geschichte 2007-2014
    Other subjects: (stw)2007-2014; (stw)Führungskräfte; (stw)Hedgefonds; (stw)Erwerbsverlauf; (stw)Liquidation; (stw)Managervergütung; (stw)USA; hedge funds; asset managers; market discipline; scarring effects; Graue Literatur
    Scope: Online-Ressource