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Systemische Risiken im Asset Management

Language GermanGerman
Book Hardback
Book Systemische Risiken im Asset Management Maximilian Johannes Höflich
Libristo code: 49515791
Publishers Duncker & Humblot, September 2025
Die Finanzkrise von 2007/08 führte zu einer verstärkten Überwachung von Risiken, welche die Kapital-... Full description
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Die Finanzkrise von 2007/08 führte zu einer verstärkten Überwachung von Risiken, welche die Kapital- und Liquiditätsallokation beeinflussen. Maximilian Höflich nimmt dies zum Anlass die kollektive Vermögensverwaltung im Hinblick auf systemische Risiken zu analysieren und das europäische Aufsichtsregime auf die angemessene Behandlung solcher Risiken hin zu überprüfen. Hieraus leitet er die Determinanten für die Weiterentwicklung des makroprudentiellen Aufsichtsrahmens von Investmentfonds ab.

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About the book

Full name Systemische Risiken im Asset Management
Language German
Binding Book - Hardback
Date of issue 2025
Number of pages 350
EAN 9783428194988
Libristo code 49515791
Publishers Duncker & Humblot
Weight 400
Dimensions 157 x 233
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