prof. Dr. Svend Reuse, MBA
Total number of publications: 51
2013
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Der Realoptionsansatz in der Unternehmensbewertung
Controller Magazin, year: 2013, volume: 2013
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Does the Square-root-of-time Rule lead to adequate Values in the Risk Management? - an actual Analysis
Finanční řízení podniků a finančních institucí. 9th International Scientific Conference Proceedings Part II., year: 2013
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Sustainable Investments-Outperformence gegenüber traditionellen Kapitalanlagen?
Controller Magazin, year: 2013, volume: 2013, edition: 1
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The Impacts of Basel III onto the European Banking Sector
European Financial Systems 2013. Proceedings of the 10th International Scientific Conference, year: 2013
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Transparenz am Kapitalmarkt
Year: 2013
2012
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Interest Rate Swaps - Modelling and Usage in the Context of Basel III and EMIR
Managing and Modelling of Financial Risks 6th International Scientific Conference, year: 2012
2011
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Basel III Global liquidity standards: Critical discussion and impact onto the European banking sector
Financial Assets and Investing, year: 2011, volume: Neuveden, edition: 3/2011
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Controlling des Aktienbuchrisikos für das Treasury Management in Banken,
1. vyd. Verlag Finanz Colloquium Heidelberg, 2015 s.2011, edition: Vyd. 1., year: 2011, number of pages: 22 s.
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Controlling des Fondsbuchrisikos für das Treasury Management in Banken
1. vyd. Verlag Finanz Colloquium Heidelberg, 2015 s. 2011., edition: Vyd. 1., year: 2011, number of pages: 29 s.
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Credit Risk Resulting from Bank Guarantees - Development of Risk Adjusted Pricing
Ekonomické Rozhľady, year: 2011, volume: 40, edition: 3