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Items where Author is "Wegmann, Patrick"

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Group by: Date | Item Type | Refereed
Number of items: 8.

2002

Drobetz, Wolfgang and Wegmann, Patrick. (2002) Mean Reversion on Global Stock Markets. Swiss Journal of Economics and Statistics, 138 (3). pp. 215-239.

April 2000

Ammann, Manuel and Schmid, Christian and Wegmann, Patrick. (April 2000) Alle Probleme gelöst? Schweizer Bank, 15 (4). pp. 50-53. Küsnacht.

1 March 2000

Ammann, Manuel and Schmid, Christian and Wegmann, Patrick. (1 March 2000) Eigenmittelvorschriften überholt? Schweizer Bank, 15 (3). pp. 48-51. Küsnacht.

1 January 2000

Ammann, Manuel and Schmid, Christian and Wegmann, Patrick. (1 January 2000) Gesucht: Das beste Kreditportfolio-Modell. Schweizer Bank, 15 (1). pp. 42-46. Küsnacht.

1 December 1999

Ammann, Manuel and Schmid, Christian and Wegmann, Patrick. (1 December 1999) Verwirrung im Pricing? Schweizer Bank, 14 (12). pp. 54-56. Küsnacht.

November 1999

Ammann, Manuel and Schmid, Christian and Wegmann, Patrick. (November 1999) An der Realität vorbei? Schweizer Bank, (11). pp. 60-64. Küsnacht.

1 September 1999

Amara, Samy and Wegmann, Patrick. (1 September 1999) Optimal segmentieren und diversifizieren. Schweizer Bank, 14 (9). pp. 62-64. Küsnacht.

1998

Wegmann, Patrick and Portmann, Thomas. (1998) Lower Partial Moments und Value-at-Risk: Eine Synthese. Finanzmarkt und Portfolio Management, 12 (3). pp. 326-341.

This list was generated on Tue Sep 27 02:41:14 2022 CEST.