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risk managementfirm valuationmonte carlo simulationshareholder valuestrategisches managementstrategic managementmanagement controlprivate equitycredit ratingforecasting modelgrundlagen risikomanagementswertorientierte unternehmensführungrisiko managementcorporate planningperformance measurementrisikomanagement ratingcorporate social responsibilityperformance messungmanagement informationssystemmanagement information systemequity participationchancen gefahrenstochastische unternehmensmodelleunternehmensmodelle kernkern innovativerfuture valuewerner gleißnerfuturevalue groupklein und mittelbetriebbasler eigenkapitalvereinbarung 2001
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Years of publications: 1996 - 2024
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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata
Werner Gleißner
Prof. Dr.
B:1966 Biblio: Vorstand der FutureValue Group AG und Honorarprofessor an der Technischen Universität Dresden ; Tätig als Geschäftsführer der RMCE RiskCon GmbH, Leinfelden-Echterdingen ; Diss., Fachbereich Volkswirtschaftslehre, Schwerpunkt Geldpolitik, Ökonometrie und Handlungstheorie