Matthias Pelster
Prof. Dr.
Contact
Prof. Dr. Matthias Pelster
- Management studies - Finance, Risk Management
Research areas
11 - 15 out of 15Page size: 10
- Published
CDS spreads, systemic risk and interconnectedness
Pelster, M., 2015, In: The International Journal of Finance. 27, 1, p. 99-119Research output: Journal contributions › Journal articles › Research › peer-review
- Published
Optimales Anlagevermögen von Versicherungsunternehmen
Pelster, M. & Kaposty, F., 01.05.2015, In: Zeitschrift für die gesamte Versicherungswissenschaft. 104, 2, p. 113-129 17 p.Research output: Journal contributions › Journal articles › Research › peer-review
Implications of financial transaction costs on the real economy: A note
Pelster, M., 31.03.2014, In: Contemporary Economics. 8, 1, p. 113-118 6 p.Research output: Journal contributions › Journal articles › Research › peer-review
Production and risk management in a multi-period duopoly under demand uncertainty
Pelster, M., 2013, In: International Journal of Trade and Global Markets. 6, 4, p. 384-405 20 p.Research output: Journal contributions › Journal articles › Research › peer-review
- Published
Marketable and non-hedgeable risk in a duopoly framework with hedging
Pelster, M., 13.10.2015, In: Journal of Economics and Finance. 39, 4, p. 697–716 20 p.Research output: Journal contributions › Journal articles › Research › peer-review