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The following scientific articles can be ordered via FutureValue Group AG.
- Gleißner, W. / Wolfrum, M. / Dorfleitner, G.: M&A and the simulation-based valuation of companies with an uncertain exit price and special rights, 06.05.2025, https://doi.org/10.3790/ccm.2025.1455401
- Follert, F. / Gleißner, W.: A decision model to value football player investments under uncertainty, in: Management Decision, Bd. 62/2024, Nr. 13, 25.03.2024, https://www.emerald.com/insight/content/doi/10.1108/MD-06-2023-0899/full/html
- Gleißner, W. / Berger, Th.: Enterprise Risk Management: Improving Embedded Risk Management and Risk Governance, in: Risks, Bd. 12/2024, Nr. 12, 05.12.2024, https://www.mdpi.com/3074192
- Ernst, D. / Gleißner, W.: Total Beta: A View from Outside, in: The Value Examiner, Nr. 3/2023, S. 4 – 14
- Gleißner, W. / Kamarás, E.: Company Valuation Using the DCF Method and CAPM: You Shouldn't Trust the Result, auf: https://papers.ssrn.com/sol3/papers.cfm?abstract_id=4396512, 31.03.2023
- Gleißner, W. / Ernst, D.: The Simulation-Based Valuation of Companies and Their Strategies – Classification, Methodology and Case Study, in: EBVM – The European Business Valuation Magazine, Bd. 2/2023, Nr. 2, S. 4 – 16
- Gleißner, W.: Uncertainty and resilience in strategic management: profile of a robust company, in: International Journal of Risk Assessment and Management, Jg. 26, Heft 1/2023, S. 75 – 94 | Accepted Paper
- Ernst, D. / Gleißner, W.: 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, Jg. 15/2022, Nr. 9, S. 399 – 411, https://doi.org/10.3390/jrfm15090399
- Gleißner, W. / Günther, T. / Walkshäusl, C.: Financial sustainability: measurement and empirical evidence, in: Journal of Business Economics, Jg. 92/2022, Nr. 3, S. 467 – 516, 21.02.2022, https://link.springer.com/article/10.1007/s11573-022-01081-0
- Follert, F. / Gleißner, W. / Moest, D.: What Can Politics Learn from Management Decisions? A Case Study of Germany’s Exit from Nuclear Energy after Fukushima, in: energies, Vol. 14/2021, Nr. 13, 3730, https://doi.org/10.3390/en14133730
- Gleißner, W.: Entrepreneurial Decisions - Avoiding liability risks (Section 93 AktG, Business Judgement Rule), in: Controller Magazin, Heft 1/2021, S. 16 – 21
- Gleißner, W. / Follert, F. / Daumann, F. / Leibbrand, F.: EU’s Ordering of COVID-19 Vaccine Doses: Political Decision-Making under Uncertainty, auf: https://www.mdpi.com/1660-4601/18/4/2169, 23.2.2021
- Günther, T. / Gleißner, W. / Walkshäusl, C.: What happened to financially sustainable firms in the Corona crisis?, auf: springer.com Sustainability Management Forum | NachhaltigkeitsManagementForum, 22.7.2020
- Gleißner, W.: Valuation Beyond CAPM: How to Calculate With Earnings Risk and Insolvency, auf: www.ssrn.com, 1.6.2020
- Gleißner, W.: Corporate Strategy and Strategic Positioning in the Age of Digitization, auf: ssrn.com, 30.4.2020
- Gleißner, W. / Oertel, K.: Conceptual framework for real estate transactions: What risk metrics are needed as decision support system? Considerations for German market participants, auf: www.emerald.com, 24.3.2020
- Gleißner, W. / Ernst, D.: Company valuation as result of risk analysis: replication approach as an alternative to the CAPM, in: Business Valuation OIV Journal, Vol. 1, Heft 1/2019, S. 3 – 18
- Gleißner, W.: Risk Management – The Basics, auf: www.ssrn.com, 04.10.18, Abruf: 29.04.19
- Gleißner, W.: Cost of capital and probability of default in value-based risk management, in: Management Research Review, Vol, 42, Heft 11/2019, S. 1243 – 1258 | Fachartikel anfordern unter fachartikel@futurevalue.de
- Berger, T. / Gleißner, W.: Integrated management systems: linking risk management and management control systems, in: International Journal of Risk Assessment and Management, Vol. 21, Heft 3/2018, S. 215 – 231 | Fachartikel anfordern unter fachartikel@futurevalue.de
- Dorfleitner, G. / Gleißner, W.: Valuing streams of risky cashflows with risk-value models, in: Journal of Risk, Issue 3/2018, S. 1 – 27
- Szumilo, N. / Gantenbein, P. / GleiBner, W. / Wiegelmann: Predicting uncertainty: The impact of risk measurement on value of real estate portfolios, in: Journal of Property Research (Published online: 19 Feb 2016) | Fachartikel anfordern unter fachartikel@futurevalue.de
- Gleißner, W. / Helm, R. / Kreiter, S.: Measurement of competitive advantages and market attractiveness for strategic controlling, in: Journal of Management Control, January 2013, Springer Verlag Berlin Heidelberg | Fachartikel anfordern unter fachartikel@futurevalue.de
- Gleißner, W.: Quantitative methods for risk management in the real estate development industry, in: Journal of Property Investment & Finance, Vol. 30 No. 6, 2012, S. 612 – 630 | Fachartikel anfordern unter fachartikel@futurevalue.de
- Füser, K. / Gleißner, W. / Leibbrand, F.: Theoretical Principles and Methods for Rating Softwares, in: Domestic and Foreign Credit Theory Studies and Standardization Practices, 2010, p. 304 – 322
- Gleißner, W. / Everling, O. / Ah Pak, D.: A Strategic Management Insight into Model Risk in Ratings, in: Gregoriou, G. / Wehn, C. / Hoppe, Ch. (Hrsg): The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital Markets, 2010, p. 175 – 186
- Kross, W. / Gleißner, W.: OpRisk Insurance as a Net Value Generator, in: Gregoriou, G. N. (Hrsg.): Operational Risk toward Basel III, Wiley & Sons, 2009, p. 289 – 310
- Gleißner, W. / Wolfrum, M.: Cost of capital and valuation with imperfect diversification and unsystematic risks, auf: www.finexpert.info, Februar 2009
- Berger, Th. / Gleißner, W.: Risk Reporting and Risks Reported: A Study on German HDAX-listed Companies
2000 to 2005, Paper presented at the 5th International Conference on Money, Investment & Risk, Nottingham, 1 – 3 November 2006
- Gleißner, W.: Value-Based Corporate Risk Management, in: Frenkel, M. / Hommel, U. / Rudolf, M. (Hrsg.) Risk Management: Challenge and Opportunity, Axel Springer AG, 2004, p. 479 – 494
- Kross, W. K. / Gleißner, W.: Ineffective Risk Management in Banking – Bold Ignorance or Gross Negligence?, in: Gregoriou, G. N. (Hrsg.): The Banking Crisis Handbook, Crc Pr Inc, p. 57 – 94
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