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  1. Characteristics of narrative interventions and health effects: a review of the content, form, and context of narratives in health-related narrative persuasion research

    Abstract: In recent years, many studies have been conducted on persuasive effects of narratives in a health context. A striking feature of this research area is the diversity of the narratives that are used in the various studies. Narratives that... more

     

    Abstract: In recent years, many studies have been conducted on persuasive effects of narratives in a health context. A striking feature of this research area is the diversity of the narratives that are used in the various studies. Narratives that convey a health message differ widely on a large number of dimensions related to the content, form and context. We expect that these characteristics are potential explanatory factors in the effectiveness of the narratives. To provide an overview of the different characteristics of narratives in health effects research and of the persuasive effects that were found, we review 153 experimental studies on health-related narrative persuasion with a focus on the narrative stimuli. The results show that: a) with regard to the content, showing the healthy behavior in a narrative (as opposed to the unhealthy behavior with negative consequences) may be associated with effects on intention. Narratives that contain high emotional content are more often shown to

     

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    Source: BASE Selection for Comparative Literature
    Language: English
    Media type: Undefined
    Format: Online
    DDC Categories: 800
    Subjects: Gesundheit; Kommunikation; Erzählung; Gesundheitsverhalten; Emotionalität; Einstellungsänderung; Gesundheitsförderung; Risiko; Wahrnehmung; Prophylaxe; narrative persuasion; narrative engagement; framing
  2. Vertrauen - ein riskantes Unterfangen?
    Sechs (Ein-) Blicke
    Contributor: Lindenau, Mathias (Publisher); Meier Kressig, Marcel (Publisher)
    Published: 2022; © 2022
    Publisher:  wbg Academic, Darmstadt

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    Source: Union catalogues
    Contributor: Lindenau, Mathias (Publisher); Meier Kressig, Marcel (Publisher)
    Language: German
    Media type: Ebook
    Format: Online
    ISBN: 9783534274772
    Subjects: Erziehung; Gesellschaft; Recht; Politik; Sicherheit; Vertrauen; Risiko; politische Rhetorik; Misstrauen; Fake News; Expertentum; Politischer Extremismus; Ringvorlesung; wbg Publishing Services; Vertrauensbegriff
    Scope: 1 Online-Ressource (112 Seiten)
  3. Weibliches Jung-Unternehmertum zwischen Selbstbestimmung und Abhängigkeit
    am Beispiel von Allein-Unternehmerinnen in der Landeshauptstadt St. Pölten
    Published: 2014

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    Source: Union catalogues
    Language: German
    Media type: Dissertation
    Format: Print
    Subjects: Sankt Pölten; Frau; Unternehmensgründung; Selbstbestimmung; Risiko; Motivation; Familie;
    Scope: X, 93 Bl., graph. Darst.
    Notes:

    Kurzfassung in dt. und engl. Sprache

    Linz, Univ., Dipl.-Arb., 2014

  4. Im Scheitern lernen - zur Zukunftsfähigkeit von Systemen
    Contributor: Schaffer, Axel (Publisher); Lang, Eva (Publisher); Hartard, Susanne (Publisher)
    Published: 2018
    Publisher:  Metropolis-Verlag, Marburg

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    Source: Union catalogues
    Contributor: Schaffer, Axel (Publisher); Lang, Eva (Publisher); Hartard, Susanne (Publisher)
    Language: German
    Media type: Book
    Format: Print
    ISBN: 9783731613220
    RVK Categories: ZG 8645 ; QC 010
    Subjects: Scheitern; Versagen; Technisches System; Risiko;
    Other subjects: Paperback / softback; Lernen; Nachhaltigkeit; Techniksysteme; gesellschaftliche Risiken; Hardcover, Softcover / Sozialwissenschaften allgemein
    Scope: 276 Seiten, Illustrationen, Diagramme, 21 cm
    Notes:

    Enthält Literaturangaben

    "Der vorliegende Sammelband ist der dritte in der Reihe der Weimarer Kolloquien zu Gast in Benediktbeuren ... Wir bedanken uns bei allen ..., die zum Gelingen des 15. und des 16. Weimarer Kolloquiums zu Gast in Benediktbeuren und zu diesem Band beigetragen haben" (Vorwort der Herausgeber)

  5. Analyse von Hedge-Fonds-Pleiten / Hedge-Fonds-Risiko-Management-Fehlern
    Published: 2010

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    Source: Union catalogues
    Language: German
    Media type: Dissertation
    Format: Print
    Subjects: Investmentfonds; Hedge Fund; Risiko; Risikomanagement; Anlagepolitik; Scheitern; Misserfolg; Fehleranalyse;
    Scope: VIII, 98 Bl., zahlr. graph. Darst.
    Notes:

    Linz, Univ., Dipl.-Arb., 2010

  6. Auf eigene Gefahr
    [erscheint anlässlich der Ausstellung "Auf Eigene Gefahr", Schirn Kunsthalle Frankfurt 27. Juni - 7. September 2003] = At your own risk
    Contributor: Heinzelmann, Markus (Publisher)
    Published: 2003
    Publisher:  Revolver - Archiv für aktuelle Kunst, Frankfurt

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    Source: Union catalogues
    Contributor: Heinzelmann, Markus (Publisher)
    Language: German; English
    Media type: Book
    Format: Print
    ISBN: 3936919011
    RVK Categories: LH 42800 ; LH 65829 ; LH 84995
    Subjects: Installation <Kunst>; Angst <Motiv>; Ausstellung; Frankfurt <Main, 2003>; ; Ausstellung Auf Eigene Gefahr; ; Moderne; Risiko; Soziale Wahrnehmung; Aufsatzsammlung;
    Scope: 334 S., zahlr. Ill.
    Notes:

    Literaturangaben

  7. Aufbruch ins Zeitalter des globalen Wettbewerbs
    Globalisierung: Chancen nutzen - Risken vorbeugen
    Published: 1997
    Publisher:  Wirtschaftskammer Österreich, Wien

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    Language: German
    Media type: Book
    Format: Print
    Series: In Ihrem Interesse
    Subjects: Österreich; Internationaler Wettbewerb; Möglichkeit; Risiko;
    Scope: 28 S., 21 cm
    Notes:

    Adresse d. Verl.: A-1045 Wien, Postfach 187, Wiedner Hauptstraße 63

  8. Restless subjects in rigid systems
    risk and speculation in millennial fictions of the North-American Pacific Rim
    Published: 2013
    Publisher:  De Gruyter, transcript, Berlin, Bielefeld

    Brandenburgische Technische Universität Cottbus - Senftenberg, Universitätsbibliothek
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    Source: Union catalogues
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9783837624168; 9783839424162
    Other identifier:
    Series: American Culture Studies ; 7
    Subjects: Spekulation <Motiv>; Zukunft <Motiv>; Risiko <Motiv>
    Other subjects: Yamashita, Karen Tei (1951-): Tropic of orange; Lai, Larissa (1967-): Salt fish girl
    Scope: 1 Online-Ressource (312 S.)
    Notes:

    Biographical note: Susanne Wegener (Dr. phil.) works on a postdoc project on genre and theory construction in literary criticism. Her research interests are American Studies, Narrative Theory, Critical Theory, Political Philosophy, Theory of Science, and History of Ideas

    Main description: The anticipatory logic of speculation and preemptive politics of risk are increasingly gaining significance in a globalizing neoliberal world. This study traces risk and speculation as aesthetic and political-economic strategies in factual and fictional discourses emerging at the North American Pacific Rim within a decade around 2000. Its exemplary close readings in particular focus on three fictional texts (Kathryn Bigelow's Hollywood film »Strange Days«, 1995, Karen T. Yamashita's novel »Tropic of Orange«, 1997, and Larissa Lai's novel »Salt Fish Girl«, 2002) whose intricate aesthetics pass perceptive critique on concurrent political-economic discourses and their subtle reconfiguration of race, class, and gender. The speculative near-future scenarios projected by these artifacts expose the rise of risk as a new rationality of governance. At the same time they illustrate neoliberal speculation as a new paradigm of subject formation at a hyper-capitalist, millennial Pacific Rim

  9. Risk in Academic Writing
    Postgraduate Students, their Teachers and the Making of Knowledge
    Contributor: Cooper, Linda (Publisher); Thesen, Lucia (Publisher)
    Published: [2013]; © 2013
    Publisher:  Multilingual Matters, Blue Ridge Summit, PA

    This book brings together a variety of voices – students and teachers, journal editors and authors, writers from the global north and south – to interrogate the notion of risk as it applies to the production of academic writing. Risk-taking is viewed... more

    Brandenburgische Technische Universität Cottbus - Senftenberg, Universitätsbibliothek
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    This book brings together a variety of voices – students and teachers, journal editors and authors, writers from the global north and south – to interrogate the notion of risk as it applies to the production of academic writing. Risk-taking is viewed as a productive force in teaching, learning and writing, and one that can be used to challenge the silences and erasures inherent in academic tradition and convention. Widening participation and the internationalisation of higher education make questions of language, register, agency and identity in postgraduate writing all the more pressing, and this book offers a powerful argument against the further reinforcement of a ‘northern’ Anglophone understanding of knowledge and its production and dissemination. This volume will provide food-for-thought for postgraduate students and their supervisors everywhere

     

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    Volltext (URL des Erstveröffentlichers)
    Source: Union catalogues
    Contributor: Cooper, Linda (Publisher); Thesen, Lucia (Publisher)
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9781783091065
    Other identifier:
    Series: New Perspectives on Language and Education
    Subjects: epistemological access; experiential knowledge; graduate writing; knowledge production; meaning-making; postgraduate literacies; risk-taking in academic writing; Academic writing; English language; Risk-taking (Psychology); Textproduktion; Risiko; Englisch; Wissenschaftlicher Text
    Scope: 1 online resource
    Notes:

    Description based on online resource; title from PDF title page (publisher's Web site, viewed 25. Jul 2018)

  10. Risk and the English Novel
    from Defoe to McEwan
    Published: [2019]; © 2019
    Publisher:  De Gruyter, Berlin ; Boston

    Taking the cue from the currency of risk in popular and interdisciplinary academic discourse, this book explores the development of the English novel in relation to the emergence and institutionalization of risk, from its origins in probability... more

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    Brandenburgische Technische Universität Cottbus - Senftenberg, Universitätsbibliothek
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    Universität Potsdam, Universitätsbibliothek
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    Taking the cue from the currency of risk in popular and interdisciplinary academic discourse, this book explores the development of the English novel in relation to the emergence and institutionalization of risk, from its origins in probability theory in the late seventeenth century to the global ‘risk society’ in the twenty-first century. Focussing on 29 novels from Defoe to McEwan, this book argues for the contemporaneity of the rise of risk and the novel and suggests that there is much to gain from reading the risk society from a diachronic, literary-cultural perspective. Tracing changes and continuities, the fictional case studies reveal the human preoccupation with safety and control of the future. They show the struggle with uncertainties and the construction of individual or collective ‘logics’ of risk, which oscillate between rational calculation and emotion, helplessness and denial, and an enabling or destructive sense of adventure and danger. Advancing the study of risk in fiction beyond the confinement to dystopian disaster narratives, this book shows how topical notions, such as chance and probability, uncertainty and responsibility, fears of decline and transgression, all cluster around risk

     

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    Volltext (URL des Erstveröffentlichers)
    Source: Union catalogues
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9783110615418
    Other identifier:
    RVK Categories: HG 680
    Series: Buchreihe der Anglia / Anglia Book Series ; 66
    Subjects: English novel; Risk; LITERARY CRITICISM / European / English, Irish, Scottish, Welsh; English fiction; English prose literature; Risk in literature; Englisch; Risiko <Motiv>; Roman
    Scope: 1 online resource (VIII, 666 pages)
    Notes:

    Description based on online resource; title from PDF title page (publisher's Web site, viewed 22. Okt 2019)

  11. Sea fortune
    literature and navigation
    Published: [2020]; © 2020
    Publisher:  De Gruyter, Berlin ; Boston

    Sea fortune has always been an issue of good faith and good navigation. While in antiquity, fortuna gubernatrix was praised for shielding the seaborne trade, in the Renaissance fortuna symbolized the conquest of chance and danger. Under such... more

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    Universität Potsdam, Universitätsbibliothek
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    Sea fortune has always been an issue of good faith and good navigation. While in antiquity, fortuna gubernatrix was praised for shielding the seaborne trade, in the Renaissance fortuna symbolized the conquest of chance and danger. Under such auspices, while relying on risk technologies modern seafaring has never lost its adventurous dimension. Understanding their origin remains a challenge for the history of science and the history of literature

     

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    Volltext (URL des Erstveröffentlichers)
    Source: Union catalogues
    Contributor: Golb, Joel
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9783110610734; 9783110609349
    Other identifier:
    Series: Paradigms ; volume 10
    Subjects: Cultural History; Literary Studies; Media History; Seafaring; LITERARY CRITICISM / General; Seehandel; Glück <Motiv>; Literatur; Seeschifffahrt <Motiv>; Seeschifffahrt; Schiffsreise; Schiffsreise <Motiv>; Risiko <Motiv>
    Scope: 1 Online Ressource (XXIX, 517 Seiten), Illustrationen
  12. Measuring income risk
    Published: 2000
    Publisher:  DIW, Berlin

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag18052
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 620 (213)
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    Universität Potsdam, Universitätsbibliothek
    99033281
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QB 910
    Series: Diskussionspapier / Deutsches Institut für Wirtschaftsforschung ; 213
    Subjects: Einkommen; Risiko; Haushaltseinkommen; Erwartungsbildung; Schätzung; Theorie; Großbritannien; Ökonometrisches Modell
    Scope: 39 S, Tab., b
    Notes:

    Literaturverz. S. 27 - 29

  13. Risk diversification and tax competition
    the influence of risk correlations and tax provisions on tax competition
    Published: 2000
    Publisher:  Hamburgisches Welt-Wirtschafts-Archiv (HWWA), Hamburg

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Potsdamer Straße
    6 B 44061
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    Z/477 4° Bd 104
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    B/40057
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QL 200
    Series: HWWA discussion paper ; 104
    Subjects: Portfolio-Investition; Kapitalertragsteuer; Doppelbesteuerung; Steuerwettbewerb; Kapitaleinkommen; Risiko; Steuerwirkung; Wohlfahrtsanalyse; Theorie; Korrelation
    Scope: 29 S, graph. Darst, b
    Notes:

    Zsfassung in engl. Sprache

  14. Is there a "dead-anyway" effect in willingness to pay for risk reduction?
    Published: 2001
    Publisher:  DIW, Berlin

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag14614
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 620 (252)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Discussion paper / Deutsches Institut für Wirtschaftsforschung ; 252
    Subjects: Zahlungsbereitschaftsanalyse; Risiko; Sterblichkeit; Vermögen; Lebensqualität; Theorie; Deutschland; Australien; Lebenszufriedenheit
    Scope: 18 S, Tab., b
    Notes:

    Zsfassung in dt. Sprache

  15. Uncertainty of outcome versus reputation
    empirical evidence for the First German Football Division
    Published: 1999
    Publisher:  ZEW, Mannheim

    This paper analyses the determination of match attendance in the German premier football league by applying models derived from Peel/Thomas (1992) and Janssens/Késenne (1987). Additionally we develop an improved version, where we incorporate the... more

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    Z 345 (99/46)
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    W 636 (99.46)
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    Leuphana Universität Lüneburg, Medien- und Informationszentrum, Universitätsbibliothek
    99-4978
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    This paper analyses the determination of match attendance in the German premier football league by applying models derived from Peel/Thomas (1992) and Janssens/Késenne (1987). Additionally we develop an improved version, where we incorporate the supporter clubs and the weather conditions as explanatory variables. While we consider this problem more or less from the consumer perspective, the information gained though this model can also serve as a management tool for football clubs: The returns are directly related to the number of tickets sold. Furthermore, the funds raised by merchandising and advertising are also closely linked to the attendance figures. Due to the limited capacity of the stadiums, some obsevations on attendance are right censored in our sample. While other authors use the ordinary least squares estimator, which produces inconsistent results when events were sold out, we take this restriction implicitly in consideration by using a Tobit model. In conclusion, we show that reputation and goodwill are more important for attendance levels than the thrill of outcome uncertainty.

     

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Array ; 99-46
    Subjects: Fußball; Nachfrage; Sportökonomik; Risiko; Reputation; Schätzung; Deutschland
    Scope: 28 S, graph. Darst
    Notes:

    Literaturverz. S. 27 - 28

    Auch im Internet unter der Adresse ftp://ftp.zew.de/pub/zew-docs/dp/dp4699.pdf verfügbar

  16. A markup interpretation of optimal rules for irreversible investment
    Published: 1997
    Publisher:  National Bureau of Economic Research, Cambridge, Mass.

    Staats- und Universitätsbibliothek Bremen
    bc 1286-5971
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1 (5971)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: NBER working paper series ; 5971
    Subjects: Betriebliche Investitionstheorie; Risiko; Preismanagement; Theorie
    Scope: 15 S., graph. Darst.
    Notes:

    Literaturverz. S. 15

  17. When bad quality is good policy
    Published: 1987

    Niedersächsische Staats- und Universitätsbibliothek Göttingen
    Z AL 121:388
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    YY 11207 (1987)-1
    374 - 388
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    Leuphana Universität Lüneburg, Medien- und Informationszentrum, Universitätsbibliothek
    11-83178
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Seminar paper / Institute for International Economic Studies, University of Stockholm ; 388
    Subjects: Produktqualität; Haftung; Marktstruktur; Risiko
    Scope: 30 S., 4°
  18. Does inflation uncertainty vary with the level of inflation?
    Published: 1996

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 765 (96.9)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Array ; 96,9
    Subjects: Inflationserwartung; Risiko; Inflation; Theorie; Schätzung; Kanada
    Scope: 48 S. : graph. Darst
  19. Uncertainty and multiple paradigms of the transmission mechanism
    Published: 1998

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 765 (98.7)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 0662268385
    Series: Array ; 98,7
    Subjects: Geldpolitik; Geldpolitische Transmission; Risiko; Theorie
    Scope: I, 22 S
  20. Futures markets and hedging real profit risk
    Published: 1998
    Publisher:  Univ., München

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag21444
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    Technische Informationsbibliothek (TIB) / Leibniz-Informationszentrum Technik und Naturwissenschaften und Universitätsbibliothek
    KAP 10137
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 63 (98.08)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Münchener wirtschaftswissenschaftliche Beiträge ; 98-08
    Subjects: Währungsmanagement; Hedging; Außenhandelssektor; Risiko; Devisenmarkt; Theorie
    Scope: 10 S., graph. Darst.
    Notes:

    Literaturverz. S. 9 - 10

  21. Neue Möglichkeiten der Optimierung von Portfolios
    der Einsatz von Ausfallrisikomaßen
    Published: 2002
    Publisher:  Techn. Univ., Fak. für Wirtschaftswiss., Chemnitz

    Niedersächsische Staats- und Universitätsbibliothek Göttingen
    K 2003 B 2264
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    1 : Z 209.81 -49-
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    W 1062 (49)
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    ZB 6932 (49)
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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Wirtschaftswissenschaftliches Diskussionspapier / Technische Universität Chemnitz-Zwickau, Fakultät für Wirtschaftswissenschaften ; 49
    Subjects: Portfolio-Management; Rendite; Risiko; Theorie; Maßzahl; shortfall risk
    Scope: 15 Bl, graph. Darst
    Notes:

    Literaturverz. S. 14 - 15

  22. Investment opportunities in Central and Eastern European equity markets
    an econometric examination of the risk-return relationships for western investors
    Published: 2000
    Publisher:  ZEW, Mannheim

    This study focuses on the diversification benefits of the most developed equity markets of Central and Eastern Europe (CEE). To evaluate these benefits of diversification we use so-called spanning tests based on a stochastic discount factor approach... more

    Staats- und Universitätsbibliothek Bremen
    bc 1298-2000,42
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    W 636 (00.42)
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    Leuphana Universität Lüneburg, Medien- und Informationszentrum, Universitätsbibliothek
    01-3191
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    This study focuses on the diversification benefits of the most developed equity markets of Central and Eastern Europe (CEE). To evaluate these benefits of diversification we use so-called spanning tests based on a stochastic discount factor approach and estimated by General Methods of Moments (GMM). Spanning tests investigate whether the returns of test assets (in our case the returns of CEE equity markets) can be mimicked by the returns of some benchmark assets. If this is possible adding the test assets to the set of the benchmark assets does not improve the mean-variance efficient frontier.

     

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Array ; 00-42
    Subjects: Börsenkurs; Aktienmarkt; Kapitaleinkommen; Risiko; Portfolio-Management; Schätzung; Schwellenländer; Osteuropa
    Scope: 21 S, graph. Darst
    Notes:

    Literaturverz. S. 20 - 21

    Auch im Internet unter der Adresse ftp://ftp.zew.de/pub/zew-docs/dp/dp0042.pdf verfügbar

  23. Uncertain potential output
    implications for monetary policy
    Published: 2001
    Publisher:  European Central Bank, Frankfurt am Main

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Potsdamer Straße
    6 B 46116
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    Staats- und Universitätsbibliothek Bremen
    bc 1389-59
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    Technische Informationsbibliothek (TIB) / Leibniz-Informationszentrum Technik und Naturwissenschaften und Universitätsbibliothek
    KAP 11098
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1225 (59)
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    Series: Working paper series / European Central Bank ; 59
    Subjects: Geldpolitik; Produktionspotenzial; Unvollkommene Information; Risiko; Eurozone; Theorie
    Scope: 56 S, graph. Darst
    Notes:

    Literaturverz. S. 47 - 50

  24. Mixing pay-as-you-go and funded pension systems
    Published: 1999
    Publisher:  Univ., Volkswirtschaftl. Fak., München

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag15111
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 63 (00.04)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Münchener wirtschaftswissenschaftliche Beiträge ; 00-04
    Subjects: Gesetzliche Rentenversicherung; Umlageverfahren; Kapitaldeckungsverfahren; Overlapping Generations; Risiko; Neue politische Ökonomie; Theorie
    Scope: [8] S, a
  25. Alternative Flexibilisierungsstrategien der Beschäftigung
    Published: 1999
    Publisher:  Univ., Fachbereich Wirtschaftswiss., Hannover

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Potsdamer Straße
    1 B 68306
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 163 (229)
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    Source: Staatsbibliothek zu Berlin
    Language: German
    Media type: Book
    Format: Print
    Series: Diskussionspapiere / Fachbereich Wirtschaftswissenschaften, Universität Hannover ; 229
    Subjects: Beschäftigungssicherung; Arbeitszeitgestaltung; Überbeschäftigung; Unterbeschäftigung; Leiharbeit; Preismanagement; Absatz; Risiko; Theorie
    Scope: 16 Bl, 30 cm
    Notes:

    Literaturverz. Bl. 15 - 16