Browsing All of EconStor by Author Wagner, Niklas
Showing results 1 to 9 of 9
Year of Publication | Title | Author(s) |
2001 | Alternative Model Specifications for Implied Volatility Measured by the German VDAX | Wagner, Niklas; Szimayer, Alexander |
2003 | Managing investment risks of institutional private equity investors: The challenge of illiquidity | Kaserer, Christoph; Wagner, Niklas; Achleitner, Ann-Kristin |
2004 | The index effect: Comparison of different measurement approaches | Kaserer, Christoph; Munzinger, Jakob; Wagner, Niklas |
2004 | Charakteristika und Erfolgsmerkmale junger, deutscher Unternehmen: Schwerpunkt Finanzierung | Achleitner, Ann-Kristin; Kaserer, Christoph; Wagner, Niklas; Poech, Angela; Brixner, Martin; Buchner, Axel; Moldenhauer, Benjamin |
2004 | Surprise volume and heteroskedasticity in equity market returns | Wagner, Niklas; Marsh, Terry A. |
2005 | Real Estate Private Equity: Funktion und Bedeutung einer Anlageklasse | Achleitner, Ann-Kristin; Wagner, Niklas |
2006 | Stochastic modeling of private equity: an equilibrium based approach to fund valuation | Buchner, Axel; Kaserer, Christoph; Wagner, Niklas |
2015 | Determinanten der Credit Spread Veränderungen von deutschen Mittelstandsanleihen | Kinateder, Harald; Oppolzer, Linda; Wagner, Niklas |
2020 | The Low-Volatility Anomaly Revisited | Perras, Patrizia J.; Reberger, Alexander; Wagner, Niklas |