Werner Gleißner

Dresden University of Technology - Faculty of Economics and Business Management

Mommsenstrasse 13

Dresden, D-01062

Germany

SCHOLARLY PAPERS

49

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18

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4

Scholarly Papers (49)

1.

Risikomanagement: Gegenwart und Zukunft (Risk management: Present and Future)

Gleißner, W. (2020). Risikomanagement: Gegenwart und Zukunft, REthinking Finance, Vol. 2, No. 4 (August 2020), pp. 24-28.
Number of pages: 5 Posted: 19 Apr 2021
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 573 (90,143)

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risk management, risk identification, risk quantification, risk aggregation, decision-oriented risk management

2.

Risikomanagement 20 Jahre nach KonTraG: Auf dem Weg zum entscheidungsorientierten Risikomanagement (Risk Management 20 Years After KonTraG: On the Way to Decision-Oriented Risk Management)

Gleißner, W. (2018): Risikomanagement 20 Jahre nach KonTraG: Auf dem Weg zum entscheidungsorientierten Risikomanagement, in: Der Betrieb vom 16.11.2018, Heft 46, S. 2769-2774
Number of pages: 6 Posted: 30 Apr 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 458 (118,466)

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3.

Company Valuation as Result of Risk Analysis: Replication Approach as an Alternative to the CAPM

Number of pages: 17 Posted: 30 Dec 2019
Werner Gleißner and Dietmar Ernst
Dresden University of Technology - Faculty of Economics and Business Management and Nuertingen-Geislingen University
Downloads 418 (131,870)
Citation 8

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cost of capital, monte carlo, risk analysis, risk-free rate, small business valuation, valuation methodology, terminal value, capital asset pricing model (CAPM), equity risk premium (ERP), residual method, risk premium, equity value

4.

Strategisches Management unter Unsicherheit: Das robuste Unternehmen (Strategic Management Under Uncertainty: The Robust Enterprise)

Gleißner, W. (2021). Strategisches Management unter Unsicherheit: Das robuste Unternehmen, REthinking Finance, Vol. 3, No. 1 (February 2021), pp. 33-41.
Number of pages: 9 Posted: 19 Apr 2021
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 411 (134,464)

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strategic management, robust enterprise, financial sustainability, risk management, rating forecast

5.

Die COVID-19-Pandemie und der Umgang mit Risiken und Krisen: Lessons Learned für Staaten und Unternehmen (The COVID-19 Pandemic and the Management of Risks and Crises: Lessons Learned for States and Companies)

Gleißner, W. (2021): Die COVID-19-Pandemie und der Umgang mit Risiken und Krisen: Lessons Learned für Staaten und Unternehmen, in: Corporate Finance, Nr. 05-06 vom 28.05.2021, S. 121-127.
Number of pages: 7 Posted: 03 Dec 2021
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 392 (141,918)

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6.

Risk Reporting and Risks Reported: A Study on German HDAX-Listed Companies 2000 to 2005

5th International Conference on Money, Investment & Risk
Number of pages: 20 Posted: 29 Aug 2010 Last Revised: 05 Sep 2010
Thomas B. Berger and Werner Gleißner
DHBW Stuttgart and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 380 (146,950)

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7.

Unternehmenswert, Rating und Risiko (Value, Rating and Risk)

Gleißner, W. (2010): Unternehmenswert, Rating und Risiko, in: Die Wirtschaftsprüfung (WPg), 14/2010, 63. Jg., S. 735-743
Number of pages: 10 Posted: 22 Dec 2016
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 369 (151,837)
Citation 2

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8.

Company Valuation Using the DCF Method and CAPM: You Shouldn't Trust the Result

Number of pages: 5 Posted: 31 Mar 2023
Werner Gleißner and Endre Kamaras
Dresden University of Technology - Faculty of Economics and Business Management and FutureValue Group AG
Downloads 319 (177,639)

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DCF valuation, CAPM, simulation-based valuation

9.

Valuing Streams of Risky Cash Flows with Risk-Value Models

Journal of Risk, Forthcoming
Number of pages: 38 Posted: 16 May 2017
Gregor Dorfleitner, Gregor Dorfleitner and Werner Gleißner
University of Augsburg - Department of Statistics and Mathematical Economic TheoryUniversity of Regensburg - Department of Finance and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 294 (193,581)

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Risk-Value Models, Company Valuation, Project Valuation, Alternative Approach

10.

Damodarans Länderrisikoprämie - Eine Ergänzung zur Kritik von Kruschwitz/Löffler/Mandl aus realwissenschaftlicher Perspektive (Damodarans Country Risk Premium – Some Amendments to the Critique)

Ernst, D./Gleißner, W. (2012): Damodarans Länderrisikoprämie, in: Die Wirtschaftsprüfung (WPg), 23/2012, S. 1252-1264
Number of pages: 14 Posted: 22 Dec 2016
Dietmar Ernst and Werner Gleißner
Independent and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 290 (196,369)
Citation 1

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11.

Risk Management – The Basics

Number of pages: 12 Posted: 27 Oct 2018 Last Revised: 20 May 2019
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 283 (201,323)
Citation 1

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risk management, decision-making, decision

12.

Die Marktrisikoprämie: stabil oder zeitabhängig? (The Market Risk Premium: Stable or Time-dependent?)

Gleißner, W. (2014): Die Marktrisikoprämie: stabil oder zeitabhängig?, in: Die Wirtschaftsprüfung (WPg), 5/2014, S. 258 - 264
Number of pages: 8 Posted: 23 Dec 2016
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 252 (226,218)

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13.

Kapitalkosten: Der Schwachpunkt bei der Unternehmensbewertung und im wertorientierten Management (Cost of Capital: The Weak Point in Business Valuation and Value-Based Management)

Gleißner, W. (2005): Kapitalkosten: Der Schwachpunkt bei der Unternehmensbewertung und im wertorientierten Management, in: Finanz Betrieb, 4/2005, S. 217-229
Number of pages: 14 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 248 (229,844)
Citation 1

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Company valuation, CAPM, capital market

Risikowahrnehmung, Risikomaße und Risikoentscheidungen: Theoretische Grundlagen (Risk Perception, Risk Measures and Risk Decisions: Theoretical Foundations)

Gleißner, W. (2018): Risikowahrnehmung, Risikomaße und Risikoentscheidungen: theoretische Grundlagen, in: Everling, Oliver/Müller, Monika (Hrsg.): Risikoprofiling mit Anlegern, 2. Aufl., Bank-Verlag Köln, 2018, S. 305-348
Number of pages: 44 Posted: 12 Jan 2022
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 133 (398,513)

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Risk measures, risk decisions

Risikowahrnehmung, Risikomaße Und Risikoentscheidungen: Theoretische Grundlagen (Risk Perception, Risk Measures and Risk Decisions: Theoretical Foundations)

Gleißner, W. (2009): Risikowahrnehmung, Risikomaße und Risikoentscheidungen: theoretische Grundlagen, in: Everling, O. / Müller, M. (Hrsg.): Risikoprofiling von Anlegern, Bank-Verlag Medien, Köln 2009, S. 305 - 343
Number of pages: 40 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 105 (477,161)

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risk measures, risk decisions

15.

Ermittlung eines objektivierten Unternehmenswerts von KMU – Anregungen unter besonderer Berücksichtigung von Rating und Insolvenzwahrscheinlichkeit (The Objectified Company Value – Considering the Implications of Rating and the Probability of Bankruptcy)

Gleißner, W. (2015): Ermittlung eines objektivierten Unternehmenswerts von KMU – Anregungen unter besonderer Berücksichtigung von Rating und Insolvenzwahrscheinlichkeit, in: Die Wirtschaftsprüfung (WPg), 17/2015, S. 908-919.
Number of pages: 13 Posted: 23 Dec 2016
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 222 (255,643)

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16.

Cost of Capital and Valuation with Imperfect Diversification and Unsystematic Risks

Number of pages: 13 Posted: 22 Jul 2009 Last Revised: 13 Apr 2010
Marco Wolfrum and Werner Gleißner
FutureValue Group AG and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 219 (258,903)
Citation 1

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Capital-Asset-Pricing-Model, CAPM, cost of capital, risks

17.

Ineffective Risk Management in Banking: Bold Ignorance of Gross Negligence?

THE BANKING CRISIS HANDBOOK, pp. 57-94, G. N. Gregoriou, ed., 2010
Number of pages: 21 Posted: 29 Aug 2010 Last Revised: 19 Apr 2013
Wilhelm Kross and Werner Gleißner
Independent and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 163 (337,156)

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18.

Valuation Beyond CAPM: How to Calculate With Earnings Risk and Insolvency

Number of pages: 10 Posted: 01 Jun 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 162 (338,962)

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19.

Unternehmensbewertung: Grundlage rationaler M&A-Entscheidungen? Eine Auswahl zwölf wesentlicher Fehlerquellen aus praktischer Sicht (Company Valuation: Basis of Rational M&A Decisions? A Selection of Twelve Major Sources of Error From a Practical Perspective)

Baecker, P./Gleißner, W./Hommel, U. (2007): Unternehmensbewertung: Grundlage rationaler M&A Entscheidungen? Eine Auswahl zwölf wesentlicher Fehlerquellen aus praktischer Sicht, in: M&A Review, Heft 6/2007, S. 270 - 277
Number of pages: 9 Posted: 19 May 2020
Werner Gleißner, Philipp N. Baecker and Ulrich Hommel
Dresden University of Technology - Faculty of Economics and Business Management, Bain & Company and EBS Business School
Downloads 162 (338,962)
Citation 1

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20.

Paradigm Shift in Finance: The Transformation of the Theory from Perfect to Imperfect Capital Markets Using the Example of Company Valuation

Ernst, D./Gleißner, W. (2022): Paradigm Shift in Finance: The Transformation of the Theory from Perfect to Imperfect Capital Markets Using the Example of Company Valuation, in: Journal of Risk and Financial Management, Vol. 15, No. 9, S. 399 ff
Number of pages: 14 Posted: 14 Apr 2023
Dietmar Ernst and Werner Gleißner
Nuertingen-Geislingen University and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 158 (346,215)

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capital market theory, CAPM, company valuation, Monte Carlo simulation, paradigm shift, simulation-based valuation

21.

Simulation-based Valuation

Number of pages: 28 Posted: 09 Aug 2022
Dietmar Ernst and Werner Gleißner
Nuertingen-Geislingen University and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 154 (353,765)
Citation 2

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Valuation, Simulation, CAPM, Simulation-based Planning, Simulation-based Valuation, Monte-Carlo Simulation, Imperfect Replication, Certainty Equivalent Approach, Risk Premium Approach, DCF

22.

Die Aggregation von Risiken im Kontext der Unternehmensplanung (The Aggregation of Risks in the Context of Corporate Planning)

Gleißner, W. (2004): Die Aggregation von Risiken im Kontext der Unternehmensplanung, in: Zeitschrift für Controlling & Management (ZfCM), Heft 5/2004, S. 350 – 359
Number of pages: 11 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 126 (414,312)

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23.

Der Beitrag der Wissenschaft zur besseren Fundierung von Unternehmensbewertungen am Beispiel der Länderrisikoprämie (Valuation and Country Risk Premium – The Contribution of Science)

Ernst, D./Gleißner, W. (2014): Der Beitrag der Wissenschaft zur besseren Fundierung von Unternehmensbewertungen am Beispiel der Länderrisikoprämie, in: Die Wirtschaftsprüfung (WPg), 10/2014, S. 532 - 538
Number of pages: 8 Posted: 23 Dec 2016
Dietmar Ernst and Werner Gleißner
Independent and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 122 (424,438)

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COSO ERM, risk management

25.

Der robuste Staat - Ein strategischer Rahmen zur Absicherung gegen Krisen und Katastrophen (The Robust State - A Strategic Framework for Protection against Crises and Disasters)

Number of pages: 8 Posted: 30 Apr 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 115 (443,659)

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Krisen, Katastrophen, Risikomanagement, Resilienz, Robustheit, Staatspolitik

26.

Corporate Strategy and Strategic Positioning in the Age of Digitization

Gleißner, W. (2020): Corporate Strategy and Strategic Positioning in the Age of Digitization, in: Controller Magazin, No. 1 (January/February 2020), S. 4-11
Number of pages: 4 Posted: 30 Apr 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 109 (461,619)

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27.

Börsenkurs und "wahrer Wert" in Abfindungsfällen – Aktien- versus Unternehmensbewertung, Anwendbarkeit des CAPM und Ertragsrisiko (Stock Price and 'True value' in Case of Squeeze Out: Limits of the CAPM and the Implication of Earnings Risk)

Gleißner, W. (2015): Börsenkurs und "wahrer Wert" in Abfindungsfällen – Aktien- versus Unternehmensbewertung, Anwendbarkeit des CAPM und Ertragsrisiko, in: Die Wirtschaftsprüfung (WPg), 2/2015, S. 72 - 80
Number of pages: 10 Posted: 23 Dec 2016
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 106 (470,940)

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28.

Unternehmensbewertung und wertorientiertes Controlling: Risikoanalyse und Risikodeckungsansatz – Ein Konzept für Unvollkommene Kapitalmärkte und auch nicht-börsennotierte Unternehmen (Company Valuation and Value-Based Controlling: Risk Analysis and Risk Coverage Approach – A Concept for Imperfect Capital Markets and Also Non-Listed Companies)

Gleißner, W. (2009): Unternehmensbewertung und wertorientiertes Controlling: Risikoanalyse und Risikodeckungsansatz – ein Konzept für unvollkommene Kapitalmärkte und auch nicht-börsennotierte Unternehmen, in: Bewertungspraktiker 4/2009, S. 12-23
Number of pages: 13 Posted: 30 Apr 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 95 (507,291)

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29.

Introduction to Risk Management: For Board Members and Managing Directors

Number of pages: 20 Posted: 07 May 2018 Last Revised: 23 Jun 2018
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 93 (514,292)

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30.

Cost of Capital and Probability of Default in Value-Based Risk Management

Number of pages: 18 Posted: 08 Mar 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 90 (524,960)
Citation 6

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Corporate governance, Risk management, Valuation, Cost of capital, Enterprise value, Probability of default, Risk aggregation, Risk quantification, Value-based management

31.

Value-Based Corporate Risk Management

Risk Management – Challenge and Opportunity, 2005
Number of pages: 17 Posted: 29 Aug 2010
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 87 (536,016)

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32.

Analyse der Subprime-Krise: Risikoblindheit und Methodikschwächen (Analysis of the Subprime Crisis: Risk Blindness and Methodological Weaknesses)

Gleißner, W./Romeike, F. (2008): Analyse der Subprime-Krise: Risikoblindheit und Methodikschwächen, in: Risiko Manager, Heft, 21/2008, S. 8-12
Number of pages: 7 Posted: 19 May 2020
Werner Gleißner and Frank Romeike
Dresden University of Technology - Faculty of Economics and Business Management and RiskNET
Downloads 79 (568,074)

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subprime crisis

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Mergers & Acquisitions, Business Judgement Rule, Fairness Opinion, decision papers

34.

Rating und Bewertung von Immobilienfonds und -portfolios (Rating and Evaluation of Real Estate Funds and Portfolios)

Gleißner, W. (2009): Rating und Bewertung von Immobilienfonds und -portfolios, in: Everling, O./Slowik, R. (Hrsg.): praxishandbuch rating von immobilienportfolios, Immobilien Manager Verlag, S. 431-449
Number of pages: 20 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 71 (603,227)
Citation 1

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Rating, evaluation, real estate

35.

Unternehmerische Entscheidungen - Haftungsrisiken vermeiden (§ 93 AktG, Business Judgement Rule) (Entrepreneurial Decisions – Avoiding Liability Risks (Section 93 AktG, Business Judgement Rule))

Gleißner, W. (2021): Unternehmerische Entscheidungen. Haftungsrisiken vermeiden (§ 93 AktG, Business Judgement Rule), in: Controller Magazin, Vol. 45, No. 1 (Januar/Februar 2021), S. 17-23.
Number of pages: 8 Posted: 11 Feb 2022
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 62 (647,378)

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entrepreneurial decisions, liability risks, Business Judgement Rule

36.

OpRisk Insurance as a Net Value Generator

OPERATIONAL RISK TOWARDS BASEL III, pp. 289-310, Operational Risk Towards Basel III, G. N. Gregoriou, ed., 2009
Number of pages: 23 Posted: 29 Aug 2010
Wilhelm Kross and Werner Gleißner
Independent and Dresden University of Technology - Faculty of Economics and Business Management
Downloads 56 (679,878)

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37.

Entrepreneurial Decisions. Avoiding Liability Risks (Section 93 AktG, Business Judgement Rule)

Gleißner, W. (2021): Entrepreneurial Decisions. Avoiding liability risks (Section 93 AktG, Business Judgement Rule), in: Controller Magazin, Vol. 45, No. 1, January/February 2021, pp. 16-23
Number of pages: 6 Posted: 19 Jan 2022
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 53 (697,158)

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Business Judgement Rule (BJR), entrepreneurial decisions, risk management, controlling

38.

Risikoaggregation in Versicherungsunternehmen basierend auf einem einfachen Simulationsmodell (Risk Aggregation in insurance Companies Based on a Simple Simulation Model)

Gleißner, W./Müller-Reichart, M./Romeike, F. (2005): Risikoaggregation in Versicherungsunternehmen basierend auf einem einfachen Simulationsmodell, in: Zeitschrift für Versicherungsunternehmen, Nr. 2, Januar 2005, S. 59-93
Number of pages: 13 Posted: 19 May 2020
Dresden University of Technology - Faculty of Economics and Business Management, affiliation not provided to SSRN and RiskNET
Downloads 52 (703,197)

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risk aggregation

39.

Aktuelle Entwicklungen im Corporate Risk Management (Current developments in corporate risk management)

Gleißner, W./Witzel, R. (2010): Aktuelle Entwicklungen im Corporate Risk Management, in: Risiko MManager, Heft 01/2010 vom 07.01.2010, S. 1-10
Number of pages: 5 Posted: 19 May 2020
Werner Gleißner and Rainer Witzel
Dresden University of Technology - Faculty of Economics and Business Management and Marsh GmbH
Downloads 46 (741,201)

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corporate risk management

40.

Stochastische Unternehmensmodelle als Kern innovativer Ratingsysteme (Stochastic Business Models As the Core of Innovative Rating Systems)

Blum, U. / Gleißner, W. / Leibbrand, F. (2005): Stochastische Unternehmensmodelle als Kern innovativer Ratingsysteme, in: IWH-Diskussionspapiere, Nr. 6, November 2005
Number of pages: 41 Posted: 19 May 2020
Werner Gleißner, Ulrich Blum and Frank Michael Leibbrand
Dresden University of Technology - Faculty of Economics and Business Management, INSTITUT FÜR WIRTSCHAFTSFORSCHUNG HALLE – IWH and University of Karlsruhe - Institut für Wirtschaftspolitik und Wirtschaftsforschung
Downloads 44 (754,906)

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rating, Saxony, modelling of enterprises, stochastics, risk, success factors

41.

Heuristische Geldpolitik – Theorie und Empirie für Deutschland und Europa (Heuristic Monetary Policy – Theory and Empiricism for Germany and Europe)

Gleißner, W. (1998): Heuristische Geldpolitik – Theorie und Empirie für Deutschland und Europa, in: Dresdner Beiträge zur Volkswirtschaftslehre, Heft 4/1998, S. 1-23
Number of pages: 24 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 43 (761,847)

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monetary policy, heuristics, central bank, causal analysis, theory of action

42.

Prüfung des Risikomanagements und der neue DIIR Revisionsstandard Nr. 2 - Anforderungen der §§91 und 93 AktG an das Risikomanagement im Fokus (Audit of Risk Management and the New Diir Auditing Standard No. 2 – Requirements of §§91 and 93 of the German Stock Corporation Act (AktG) for Risk Management in Focus)

Gleißner, W./Kimpel, R. (2019): Prüfung des Risikomanagements und der neue DIIR Revisionsstandard Nr. 2, in: ZIR, Heft 4/2019, S. 148-159
Number of pages: 13 Posted: 20 Apr 2023
Werner Gleißner and Ralf Kimpel
Dresden University of Technology - Faculty of Economics and Business Management and Risk Management & Rating Association e.V.
Downloads 41 (776,127)

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43.

Simulationsbasierte Bewertung von Akquisitionszielen und Beteiligungen: Schätzung und Bewertung unsicherer Exit-Preise (Simulation-Based Evaluation of Acquisition Targets and Investments: Estimation and Valuation of Uncertain Exit Prices)

Gleißner, W. / Wolfrum, M. (2008): Simulationsbasierte Bewertung von Akquisitionszielen und Beteiligungen: Schätzung und Bewertung unsicherer Exit-Preise, auf www.finexpert.info im Nov. 2008 veröffentlicht.
Number of pages: 19 Posted: 19 May 2020
Werner Gleißner and Marco Wolfrum
Dresden University of Technology - Faculty of Economics and Business Management and FutureValue Group AG
Downloads 40 (783,415)

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44.

Ratingprognose, Bilanzschutz und alternativer Risikotransfer (Rating Forecast, Balance Sheet Protection and Alternative Risk Transfer)

Gleißner, W. (2008): Ratingprognose, Bilanzschutz und alternativer Risikotransfer, in: Zeitschrift für Versicherungswesen (ZfV), Heft 23/2008, S. 799-805
Number of pages: 8 Posted: 19 May 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management
Downloads 36 (813,456)

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rating forecast, balance sheet protection

45.

EU’s Ordering of COVID-19 Vaccine Doses: Political Decision-Making under Uncertainty

Gleißner, W./Follert, F./Daumann, F./Leibbrand, F. (2021). EU’s Ordering of COVID-19 Vaccine Doses: Political Decision-Making under Uncertainty, International Journal of Environmental Research and Public Health, Vol. 18, No. 4, S. 2169ff.
Number of pages: 12 Posted: 05 Mar 2021
Dresden University of Technology - Faculty of Economics and Business Management, Seeburg Castle University, Friedrich-Schiller-Universität Jena and Institute for Applied Economic Research (IAW)
Downloads 32 (845,831)

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COVID-19; decision-making; uncertainty; vaccine; political economy; public health

46.

Political Decision Making in the COVID-19 Pandemic: The Case of Germany from the Perspective of Risk Management

Daumann, F./Follert, F./Gleißner, W./Kamaras, E./Naumann, Ch. (2022): Political Decision Making in the COVID-19 Pandemic: The Case of Germany from the Perspective of Risk Management, in: International Journal of Environmental Research and Public Health, Vol. 19, No. 1, S. 397 ff
Number of pages: 24 Posted: 10 Apr 2023
Friedrich-Schiller-Universität Jena, Seeburg Castle University, Dresden University of Technology - Faculty of Economics and Business Management, FutureValue Group AG and Dornbach GmbH
Downloads 15 (1,008,677)

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COVID-19, health economics, decision making, business economics, health policy, public health, risk management, uncertainty, simulation, public choice, applied economics

47.

Das kapitalmarktfähige Familienunternehmen: eine ideale Symbiose. Mit dem Q-Score die Unabhängigkeit und Zukunftsfähigkeit sichern (The Family Business Fit for the Capital Market: An Ideal Symbiosis. Securing Independence and Future Viability with the Q-Score)

Gleißner, W./Wolfrum, M./Weissman, A. (2021): Das kapitalmarktfähige Familienunternehmen: eine ideale Symbiose. Mit dem Q-Score die Unabhängigkeit und Zukunftsfähigkeit sichern, in: Zeitschrift für Familienunternehmen und Stiftungen (FUS), 11. Jg., Heft 2/2021, S. 71-76.
Posted: 20 Apr 2023
Werner Gleißner, Marco Wolfrum and Arnold Weissman
Dresden University of Technology - Faculty of Economics and Business Management, FutureValue Group AG and Weissman & Cie

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48.

Conceptual Framework for Real Estate Transactions: What Risk Metrics Are Needed As Decision Support System? Considerations for German Market Participants

Journal of Property Investment & Finance, Vol. 38 No. 3, pp. 245-262, 2020. https://doi.org/10.1108/JPIF-01-2020-0014
Posted: 13 Apr 2023
Werner Gleißner and Cay Oertel
Dresden University of Technology - Faculty of Economics and Business Management and University of Regensburg - International Real Estate Business School (IREBS)

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Real estate risk management, Asset price bubble, Risk aggregation, Property valuation, Downside risk, Transaction decisions

49.

Distress Risk, Insolvency, Rating and Valuation

Posted: 30 Dec 2019 Last Revised: 07 Jan 2020
Werner Gleißner
Dresden University of Technology - Faculty of Economics and Business Management

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insolvency risk, IDW, enterprise value, probability of insolvency