Publikationen von Prof. Dr. Gösta Jamin

 

    • Defren, T./Jamin, G./Zieger, M. (2016): Neue Anlagekonzepte dank der Weisheit der Masse, die bank, 3, S. 8-12, 2016.
    • Jamin, G. (2015): Crowdlending-Plattformen – Funktionsweise, Arten und Bewertung, WiSt – Wirtschaftswissenschaftliches Studium, April 2015.
    • Jamin, G./König, E. (2014): Die „ideale“ Firmenkundenbank, BankInformation, September 2014.
    • Jamin, G./Niemann, M./Stegemann, U. (2008): Active Credit Portfolio Management: Die Risiken beherrschen, Die Bank, April 2008.
    • Jamin, G./Stegemann, U. (2008): The CPM challenge, Risk, October 2008.
    • Entorf, H./Jamin, G. (2007): German Exchange Rate Exposure at DAX and Aggregate Levels, International Trade and the Role of Exchange Rate Adjustment Costs, German Economic Review, 8, 3, S. 344 – 374, 2007.
    • Jamin, G. (2006): Der Residualgewinnansatz in der fundamentalen Aktienbewertung, Frankfurt 2006.
    • Entorf, H./Jamin, G. (2005): The Dollar and the German Stock Market: Determination of Exposure to and Pricing of Exchange Rate Risk using APT –Modeling, ICFAI Journal of Applied Economics, 4, S. 19 – 33, 2005.
    • Jamin, G. (2005): Investment Performance of Residual Income Valuation Models on the German Stock Market, Research Paper of the Institute of Business Management Nr. 08, 2005, Würzburg 2005.