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dc.contributor.authorSchüle, Martin-
dc.contributor.authorSchwendner, Peter-
dc.date.accessioned2018-07-20T13:42:10Z-
dc.date.available2018-07-20T13:42:10Z-
dc.date.issued2016-
dc.identifier.urihttps://digitalcollection.zhaw.ch/handle/11475/8381-
dc.description.abstractThe Institut Louis Bachelier, in cooperation with the Fondation du Risque, the Europlace Institute of Finance and the Louis Bachelier «Finance and Sustainable Growth» Laboratory, is pleased to invite you to the 9th Financial Risks International Forum. In the current context, this year’s forum will focus on « New Challenges Facing the Investment Management Industry». The aim of this conference is to highlight the methodological and regulatory challenges confronting the investment management industry. The financial crisis and its aftermath have resulted in reflection on the tools and practices of investment managers. The economic and financial environment is challenging, marked by low interest rates, increased volatility, and new economic and demographic risks. Standard practices such as the use of traditional risk management models, benchmarks, quantitative backtests, are being called into question. End investors require more governance and socially responsible investment practices. Regulatory complexity is a constantly evolving concern for the industry. Questions have been raised about potential incentive problems created by delegated management, and financial stability risks posed by the asset management industry.de_CH
dc.language.isoende_CH
dc.rightsLicence according to publishing contractde_CH
dc.subject.ddc332: Finanzwirtschaftde_CH
dc.titleEuropean government bond dynamics and stability policies : taming contagion risksde_CH
dc.typeKonferenz: Sonstigesde_CH
dcterms.typeTextde_CH
zhaw.departementSchool of Management and Lawde_CH
zhaw.departementLife Sciences und Facility Managementde_CH
zhaw.organisationalunitInstitut für Computational Life Sciences (ICLS)de_CH
zhaw.conference.details9th Financial Risks International Forum, Paris, France, 21 March 2016de_CH
zhaw.funding.euNode_CH
zhaw.originated.zhawYesde_CH
zhaw.publication.statuspublishedVersionde_CH
zhaw.publication.reviewNot specifiedde_CH
zhaw.webfeedDigital Environment & Sustainabilityde_CH
zhaw.funding.zhawEuropean government bond dynamics and stability policies: taming contagion risksde_CH
Appears in collections:Publikationen School of Management and Law

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Schüle, M., & Schwendner, P. (2016). European government bond dynamics and stability policies : taming contagion risks. 9th Financial Risks International Forum, Paris, France, 21 March 2016.
Schüle, M. and Schwendner, P. (2016) ‘European government bond dynamics and stability policies : taming contagion risks’, in 9th Financial Risks International Forum, Paris, France, 21 March 2016.
M. Schüle and P. Schwendner, “European government bond dynamics and stability policies : taming contagion risks,” in 9th Financial Risks International Forum, Paris, France, 21 March 2016, 2016.
SCHÜLE, Martin und Peter SCHWENDNER, 2016. European government bond dynamics and stability policies : taming contagion risks. In: 9th Financial Risks International Forum, Paris, France, 21 March 2016. Conference presentation. 2016
Schüle, Martin, and Peter Schwendner. 2016. “European Government Bond Dynamics and Stability Policies : Taming Contagion Risks.” Conference presentation. In 9th Financial Risks International Forum, Paris, France, 21 March 2016.
Schüle, Martin, and Peter Schwendner. “European Government Bond Dynamics and Stability Policies : Taming Contagion Risks.” 9th Financial Risks International Forum, Paris, France, 21 March 2016, 2016.


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