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  • Books  (11)
  • Environmental management  (6)
  • Finance, general  (5)
  • 2015-2019  (11)
  • 1965-1969
  • 1960-1964
  • 1925-1929
  • 2015  (11)
  • 1926
Collection
Source
Language
Years
  • 2015-2019  (11)
  • 1965-1969
  • 1960-1964
  • 1925-1929
Year
  • 1
    Keywords: Finance ; Mathematics ; Quantitative Finance ; Game Theory, Economics, Social and Behav. Sciences ; Finance, general ; Actuarial Sciences
    Description / Table of Contents: Part I Markets, Regulation, and Model Risk --- A Random Holding Period Approach for Liquidity-Inclusive Risk Management --- Regulatory Developments in Risk Management: Restoring Confidence in Internal Models --- Model Risk in Incomplete Markets with Jumps --- Part II Financial Engineering --- Bid-Ask Spread for Exotic Options Under Conic Finance --- Derivative Pricing Under the Possibility of Long Memory in the supOU Stochastic Volatility Model --- A Two-Sided BNS Model for Multicurrency FX Markets --- Modeling the Price of Natural Gas with Temperature and Oil Price as Exogenous Factors --- Copula-Specific Credit Portfolio Modeling --- Implied Recovery Rates—Auctions and Models --- Upside and Downside Risk Exposures of Currency Carry Trades via Tail Dependence --- Part III Insurance Risk and Asset Management --- Participating Life Insurance Contracts Under Risk Based Solvency Frameworks: How to Increase Capital Efficiency by Product Design --- Reducing Surrender Incentives Through Fee Structure in Variable Annuities --- A Variational Approach for Mean-Variance-Optimal Deterministic Consumption and Investment --- Risk Control in Asset Management: Motives and Concepts --- Worst-Case Scenario Portfolio Optimization Given the Probability of a Crash --- Improving Optimal Terminal Value Replicating Portfolios --- Part IV Computational Methods for Risk Management --- Risk and Computation --- Extreme Value Importance Sampling for Rare Event Risk Measurement --- A Note on the Numerical Evaluation of the Hartman–Watson Density and Distribution Function --- Computation of Copulas by Fourier Methods --- Part V Dependence Modelling --- Goodness-of-fit Tests for Archimedean Copulas in High Dimensions --- Duality in Risk Aggregation --- Some Consequences of the Markov Kernel Perspective of Copulas --- Copula Representations for Invariant Dependence Functions --- Nonparametric Copula Density Estimation Using a Petrov–Galerkin Projection
    Pages: Online-Ressource (XI, 438 pages) , 84 illustrations
    ISBN: 9783319091143
    Language: English
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  • 2
    Keywords: Earth sciences ; Environmental management ; Environmental sciences ; Geoecology ; Environmental geology ; Earth Sciences ; Environmental Science and Engineering ; Water Policy/Water Governance/Water Management ; Geoecology/Natural Processes
    Description / Table of Contents: Wetlands and Water Framework Directive: protection, management and climate change --- Synergies and Conflicts between Water Framework Directive and Natura 2000: Legal requirements, technical guidance and experiences from practice --- Can Natura 2000 Sites Benefit from River Basin Management Planning Under a Changing Climate? Lessons from Germany --- Do water management and climate-adapted management of wetlands interfere in practice? Lessons from the Biebrza Valley, Poland --- Wetlands in river valleys as an effect of fluvial processes and anthropopression --- New vision of the role of land reclamation systems in nature protection and water management
    Pages: Online-Ressource (XI, 103 pages) , 19 illustrations, 12 illustrations in color
    ISBN: 9783319137643
    Language: English
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  • 3
    Keywords: Finance ; Economic policy ; Development economics ; Finance ; Finance, general ; Economic Policy ; Development Economics
    Description / Table of Contents: Contents --- Foreword --- Chapter 1: Introduction and Overview --- Chapter 2: The Three Phases of Global Liquidity --- 2.1: Conceptual and Measurement Issues --- 2.2: First Phase of Global Liquidity --- 2.2.1: Round-trip Bank Flows to the US --- 2.2.2: Banking Sector Flows to the Rest of the World --- 2.2.3: Exchange Rates and Leverage --- 2.3: Second Phase of Global Liquidity --- 2.4: The Case of Emerging Asia --- 2.5: Third Phase and Onward --- 2.6: References --- Chapter 3: Early Warning Indicators for Financial Vulnerabilities --- 3.1: Principles for Selection of Early Warning Indicators --- 3.2: Core and Noncore Liabilities --- 3.3: References --- Chapter 4: Emerging Asia’s Noncore Liabilities and Policy Effectiveness --- 4.1: Bank-led Flows, Noncore Liabilities, and Credit Growth --- 4.2: Reassessing Monetary Policy --- 4.3: Appendix --- 4.4: References --- Chapter 5: Capital Flows and Income Distribution --- 5.1: National Policy Remains Key --- 5.2: How Capital Flows Affect Income Inequality --- 5.3: Prioritization for a Multi-Objective Goal --- 5.4: Appendix --- 5.5: References --- Chapter 6: Policy Implications --- 6.1 Tailoring Policies to Vulnerabilities --- 6.2 Macroprudential Tools --- 6.2.1 Bank Capital-Oriented Tools --- 6.2.1.1 Capital Requirements that Adjust Over the Cycle --- 6.2.1.2 Forward-Looking Provisioning --- 6.2.1.3: Leverage caps --- 6.2.1.4: Loan-To-Value and Debt-Service-To-Income Caps --- 6.2.1.5: Loan-to-Deposit caps --- 6.2.1.6: Levy on Noncore Liabilities --- 6.2.1.7: Unremunerated Reserve Requirements --- 6.2.2: Relative Merits of URR versus Levies/Taxes --- 6.2.3: Relationship with other Stabilization Policies --- 6.3: Financial Integration and Institutional Design --- 6.4: Policy Choices --- 6.5: References
    Pages: Online-Ressource (VIII, 124 pages) , 69 illustrations
    ISBN: 9789812872845
    Language: English
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  • 4
    Keywords: Finance ; Mathematics ; Quantitative Finance ; Game Theory, Economics, Social and Behav. Sciences ; Finance, general ; Actuarial Sciences
    Description / Table of Contents: Part I Markets, Regulation, and Model Risk --- A Random Holding Period Approach for Liquidity-Inclusive Risk Management --- Regulatory Developments in Risk Management: Restoring Confidence in Internal Models --- Model Risk in Incomplete Markets with Jumps --- Part II Financial Engineering --- Bid-Ask Spread for Exotic Options Under Conic Finance --- Derivative Pricing Under the Possibility of Long Memory in the supOU Stochastic Volatility Model --- A Two-Sided BNS Model for Multicurrency FX Markets --- Modeling the Price of Natural Gas with Temperature and Oil Price as Exogenous Factors --- Copula-Specific Credit Portfolio Modeling --- Implied Recovery Rates—Auctions and Models --- Upside and Downside Risk Exposures of Currency Carry Trades via Tail Dependence --- Part III Insurance Risk and Asset Management --- Participating Life Insurance Contracts Under Risk Based Solvency Frameworks: How to Increase Capital Efficiency by Product Design --- Reducing Surrender Incentives Through Fee Structure in Variable Annuities --- A Variational Approach for Mean-Variance-Optimal Deterministic Consumption and Investment --- Risk Control in Asset Management: Motives and Concepts --- Worst-Case Scenario Portfolio Optimization Given the Probability of a Crash --- Improving Optimal Terminal Value Replicating Portfolios --- Part IV Computational Methods for Risk Management --- Risk and Computation --- Extreme Value Importance Sampling for Rare Event Risk Measurement --- A Note on the Numerical Evaluation of the Hartman–Watson Density and Distribution Function --- Computation of Copulas by Fourier Methods --- Part V Dependence Modelling --- Goodness-of-fit Tests for Archimedean Copulas in High Dimensions --- Duality in Risk Aggregation --- Some Consequences of the Markov Kernel Perspective of Copulas --- Copula Representations for Invariant Dependence Functions --- Nonparametric Copula Density Estimation Using a Petrov–Galerkin Projection
    Pages: Online-Ressource (XI, 438 pages) , 84 illustrations
    ISBN: 9783319091143
    Language: English
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  • 5
    Unknown
    Dordrecht : Springer
    Keywords: Environment ; Renewable energy resources ; Environmental sciences ; Renewable energy sources ; Alternate energy sources ; Green energy industries ; Environmental management ; Sustainable development ; Environment ; Sustainable Development ; Environmental Management ; Renewable and Green Energy ; Environmental Science and Engineering
    Description / Table of Contents: Part I: Introducing Life Cycle Management --- Introduction: Life Cycle Management --- Life Cycle Management: Implementing Sustainability in Business Practice --- Life Cycle Management as a Way to Operationalize Sustainability Within Organizations --- How to Implement Life Cycle Management in Business? --- Life Cycle Sustainability Assessment: A Tool for Exercising due Diligence in Life Cycle Management --- Life Cycle Management: Labeling, Declarations and Certifications at the Product Level —Different Approaches --- Mainstreaming the Use of Life Cycle Management in Small and Medium Sized Enterprises Using a Sector Based and Regional Approach --- Part II: Advancing the Implementation of Life Cycle Management in Business Practice --- From Projects to Processes to Implement Life Cycle Management in Business --- How to Make the LCA Team a Business Partner --- Sustainability Improvements and Life Cycle Approaches in Industry Partnerships --- Sustainable Value Creation with Life Cycle Management --- Part III: Life Cycle Management as Part of Sustainable Consumption and Production Strategies and Policies --- Hotspots Analysis: Providing the Focus for Action --- From Sustainable Production to Sustainable Consumption.-Life Cycle Management Responsibilities and Procedures in the Value Chain --- Policy Options for Life Cycle Assessment Deployment in Legislation --- Part IV: Mainstreaming and Capacity Building on Life Cycle Management --- Taking Life Cycle Management Mainstream: Integration in Corporate Finance and Accounting --- Building Organizational Capability for Life Cycle Management --- Promoting Life Cycle Thinking, Life Cycle Assessment and Life Cycle Management Within Business in Brazil --- Mainstreaming Life Cycle Sustainability Management in Rapidly Growing and Emerging Economies Through Capacity-building.-Communication and Collaboration as Essential Elements for Mainstreaming Life Cycle Management.-Part V: Implementation and Case Studies of Life Cycle Management in Different Business and Industry Sector --- Exploring Challenges and Opportunities of Life Cycle Management in the Electricity Sector --- Life Cycle Management Applied to Urban Fabric Planning --- Implementing Life Cycle Engineering in Automotive Development as a Helpful Management Tool to Support Design for Environment --- Managing Life cycle Sustainability Aspects in the Automotive Industry --- Life Cycle Management as a Way to Operationalize the Creating Shared Value Concept in the Food and Beverage Industry: A Case Study
    Pages: Online-Ressource (XVII, 353 pages) , 49 illustrations, 28 illustrations in color
    ISBN: 9789401772211
    Language: English
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  • 6
    Unknown
    Cham : Springer
    Keywords: Environment ; Applied ecology ; Biodiversity ; Landscape ecology ; Environmental management ; Nature conservation ; Environment ; Nature Conservation ; Environmental Management ; Biodiversity ; Landscape Ecology ; Applied Ecology
    Description / Table of Contents: Part I  - The Theory of Rewilding --- 1. Rewilding Abandoned Landscapes in Europe --- 2. European Wilderness in a Time of Farmland Abandonment --- 3. Ecosystem Services: the Opportunities of Rewilding in Europe --- Part II - Rewilding and Biodiversity --- 4. Bringing Large Mammals Back: Large Carnivores in Europe --- 5. Top Scavengers in a Wilder Europe --- 6. Rewilding: Pitfalls and Opportunities for Moths and Butterflies --- 7. Vegetation Restoration and Other Actions to Enhance Wildlife in European Agricultural Landscapes --- 8. Maintaining Disturbance-dependent Habitats.- Part III - Rewillding in Practice --- 9. Rewilding Europe: A New Strategy for an Old Continent --- 10. Preparing a New Generation of Wilderness Entrepreneurs --- 11. Towards a European Policy for Rewilding --- Index
    Pages: Online-Ressource (XXI, 227 pages) , 44 illustrations, 43 illustrations in color
    ISBN: 9783319120393
    Language: English
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  • 7
    Keywords: Finance ; Mathematics ; Quantitative Finance ; Game Theory, Economics, Social and Behav. Sciences ; Finance, general ; Actuarial Sciences
    Description / Table of Contents: Part I Markets, Regulation, and Model Risk --- A Random Holding Period Approach for Liquidity-Inclusive Risk Management --- Regulatory Developments in Risk Management: Restoring Confidence in Internal Models --- Model Risk in Incomplete Markets with Jumps --- Part II Financial Engineering --- Bid-Ask Spread for Exotic Options Under Conic Finance --- Derivative Pricing Under the Possibility of Long Memory in the supOU Stochastic Volatility Model --- A Two-Sided BNS Model for Multicurrency FX Markets --- Modeling the Price of Natural Gas with Temperature and Oil Price as Exogenous Factors --- Copula-Specific Credit Portfolio Modeling --- Implied Recovery Rates—Auctions and Models --- Upside and Downside Risk Exposures of Currency Carry Trades via Tail Dependence --- Part III Insurance Risk and Asset Management --- Participating Life Insurance Contracts Under Risk Based Solvency Frameworks: How to Increase Capital Efficiency by Product Design --- Reducing Surrender Incentives Through Fee Structure in Variable Annuities --- A Variational Approach for Mean-Variance-Optimal Deterministic Consumption and Investment --- Risk Control in Asset Management: Motives and Concepts --- Worst-Case Scenario Portfolio Optimization Given the Probability of a Crash --- Improving Optimal Terminal Value Replicating Portfolios --- Part IV Computational Methods for Risk Management --- Risk and Computation --- Extreme Value Importance Sampling for Rare Event Risk Measurement --- A Note on the Numerical Evaluation of the Hartman–Watson Density and Distribution Function --- Computation of Copulas by Fourier Methods --- Part V Dependence Modelling --- Goodness-of-fit Tests for Archimedean Copulas in High Dimensions --- Duality in Risk Aggregation --- Some Consequences of the Markov Kernel Perspective of Copulas --- Copula Representations for Invariant Dependence Functions --- Nonparametric Copula Density Estimation Using a Petrov–Galerkin Projection
    Pages: Online-Ressource (XI, 438 pages) , 84 illustrations
    ISBN: 9783319091143
    Language: English
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  • 8
    Keywords: Earth sciences ; Environmental management ; Environmental sciences ; Geoecology ; Environmental geology ; Earth Sciences ; Environmental Science and Engineering ; Water Policy/Water Governance/Water Management ; Geoecology/Natural Processes
    Description / Table of Contents: Wetlands and Water Framework Directive: protection, management and climate change --- Synergies and Conflicts between Water Framework Directive and Natura 2000: Legal requirements, technical guidance and experiences from practice --- Can Natura 2000 Sites Benefit from River Basin Management Planning Under a Changing Climate? Lessons from Germany --- Do water management and climate-adapted management of wetlands interfere in practice? Lessons from the Biebrza Valley, Poland --- Wetlands in river valleys as an effect of fluvial processes and anthropopression --- New vision of the role of land reclamation systems in nature protection and water management
    Pages: Online-Ressource (XI, 103 pages) , 19 illustrations, 12 illustrations in color
    ISBN: 9783319137643
    Language: English
    Location Call Number Expected Availability
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  • 9
    Keywords: Finance ; Economic policy ; Development economics ; Finance ; Finance, general ; Economic Policy ; Development Economics
    Description / Table of Contents: Contents --- Foreword --- Chapter 1: Introduction and Overview --- Chapter 2: The Three Phases of Global Liquidity --- 2.1: Conceptual and Measurement Issues --- 2.2: First Phase of Global Liquidity --- 2.2.1: Round-trip Bank Flows to the US --- 2.2.2: Banking Sector Flows to the Rest of the World --- 2.2.3: Exchange Rates and Leverage --- 2.3: Second Phase of Global Liquidity --- 2.4: The Case of Emerging Asia --- 2.5: Third Phase and Onward --- 2.6: References --- Chapter 3: Early Warning Indicators for Financial Vulnerabilities --- 3.1: Principles for Selection of Early Warning Indicators --- 3.2: Core and Noncore Liabilities --- 3.3: References --- Chapter 4: Emerging Asia’s Noncore Liabilities and Policy Effectiveness --- 4.1: Bank-led Flows, Noncore Liabilities, and Credit Growth --- 4.2: Reassessing Monetary Policy --- 4.3: Appendix --- 4.4: References --- Chapter 5: Capital Flows and Income Distribution --- 5.1: National Policy Remains Key --- 5.2: How Capital Flows Affect Income Inequality --- 5.3: Prioritization for a Multi-Objective Goal --- 5.4: Appendix --- 5.5: References --- Chapter 6: Policy Implications --- 6.1 Tailoring Policies to Vulnerabilities --- 6.2 Macroprudential Tools --- 6.2.1 Bank Capital-Oriented Tools --- 6.2.1.1 Capital Requirements that Adjust Over the Cycle --- 6.2.1.2 Forward-Looking Provisioning --- 6.2.1.3: Leverage caps --- 6.2.1.4: Loan-To-Value and Debt-Service-To-Income Caps --- 6.2.1.5: Loan-to-Deposit caps --- 6.2.1.6: Levy on Noncore Liabilities --- 6.2.1.7: Unremunerated Reserve Requirements --- 6.2.2: Relative Merits of URR versus Levies/Taxes --- 6.2.3: Relationship with other Stabilization Policies --- 6.3: Financial Integration and Institutional Design --- 6.4: Policy Choices --- 6.5: References
    Pages: Online-Ressource (VIII, 124 pages) , 69 illustrations
    ISBN: 9789812872845
    Language: English
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  • 10
    Unknown
    Cham : Springer
    Keywords: Environment ; Applied ecology ; Biodiversity ; Landscape ecology ; Environmental management ; Nature conservation ; Environment ; Nature Conservation ; Environmental Management ; Biodiversity ; Landscape Ecology ; Applied Ecology
    Description / Table of Contents: Part I  - The Theory of Rewilding --- 1. Rewilding Abandoned Landscapes in Europe --- 2. European Wilderness in a Time of Farmland Abandonment --- 3. Ecosystem Services: the Opportunities of Rewilding in Europe --- Part II - Rewilding and Biodiversity --- 4. Bringing Large Mammals Back: Large Carnivores in Europe --- 5. Top Scavengers in a Wilder Europe --- 6. Rewilding: Pitfalls and Opportunities for Moths and Butterflies --- 7. Vegetation Restoration and Other Actions to Enhance Wildlife in European Agricultural Landscapes --- 8. Maintaining Disturbance-dependent Habitats.- Part III - Rewillding in Practice --- 9. Rewilding Europe: A New Strategy for an Old Continent --- 10. Preparing a New Generation of Wilderness Entrepreneurs --- 11. Towards a European Policy for Rewilding --- Index
    Pages: Online-Ressource (XXI, 227 pages) , 44 illustrations, 43 illustrations in color
    ISBN: 9783319120393
    Language: English
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  • 11
    Unknown
    Dordrecht : Springer
    Keywords: Environment ; Renewable energy resources ; Environmental sciences ; Renewable energy sources ; Alternate energy sources ; Green energy industries ; Environmental management ; Sustainable development ; Environment ; Sustainable Development ; Environmental Management ; Renewable and Green Energy ; Environmental Science and Engineering
    Description / Table of Contents: Part I: Introducing Life Cycle Management --- Introduction: Life Cycle Management --- Life Cycle Management: Implementing Sustainability in Business Practice --- Life Cycle Management as a Way to Operationalize Sustainability Within Organizations --- How to Implement Life Cycle Management in Business? --- Life Cycle Sustainability Assessment: A Tool for Exercising due Diligence in Life Cycle Management --- Life Cycle Management: Labeling, Declarations and Certifications at the Product Level —Different Approaches --- Mainstreaming the Use of Life Cycle Management in Small and Medium Sized Enterprises Using a Sector Based and Regional Approach --- Part II: Advancing the Implementation of Life Cycle Management in Business Practice --- From Projects to Processes to Implement Life Cycle Management in Business --- How to Make the LCA Team a Business Partner --- Sustainability Improvements and Life Cycle Approaches in Industry Partnerships --- Sustainable Value Creation with Life Cycle Management --- Part III: Life Cycle Management as Part of Sustainable Consumption and Production Strategies and Policies --- Hotspots Analysis: Providing the Focus for Action --- From Sustainable Production to Sustainable Consumption.-Life Cycle Management Responsibilities and Procedures in the Value Chain --- Policy Options for Life Cycle Assessment Deployment in Legislation --- Part IV: Mainstreaming and Capacity Building on Life Cycle Management --- Taking Life Cycle Management Mainstream: Integration in Corporate Finance and Accounting --- Building Organizational Capability for Life Cycle Management --- Promoting Life Cycle Thinking, Life Cycle Assessment and Life Cycle Management Within Business in Brazil --- Mainstreaming Life Cycle Sustainability Management in Rapidly Growing and Emerging Economies Through Capacity-building.-Communication and Collaboration as Essential Elements for Mainstreaming Life Cycle Management.-Part V: Implementation and Case Studies of Life Cycle Management in Different Business and Industry Sector --- Exploring Challenges and Opportunities of Life Cycle Management in the Electricity Sector --- Life Cycle Management Applied to Urban Fabric Planning --- Implementing Life Cycle Engineering in Automotive Development as a Helpful Management Tool to Support Design for Environment --- Managing Life cycle Sustainability Aspects in the Automotive Industry --- Life Cycle Management as a Way to Operationalize the Creating Shared Value Concept in the Food and Beverage Industry: A Case Study
    Pages: Online-Ressource (XVII, 353 pages) , 49 illustrations, 28 illustrations in color
    ISBN: 9789401772211
    Language: English
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