Release Archive (Examples)
- Isolating Success Factors in Fundraising for Foreign Investment Managers (Comenius University, 2012)
- Business Models in the Financial Industry (International Conference of the Society for Global Business and Economic Development, Bratislava, 2009)
- Fixed Income MBS (Institutional Investor, Düsseldorf, 2006)
- Financial Innovations, Derivatives and their Impact on the Balance Sheets (Geno Academy Training, Baunatal, 1999)
- In Search of Alternatives to Minimum-Variance Concepts (Telos, Wiesbaden, February 2013)
- Solvency II for Pension Funds (max.xs, Frankfurt, Yearbook 2013)
- Internal versus External Institutional Sales in Asset Management (Zeitschrift für das Gesamte Kreditwesen, Frankfurt, September 2012)
- High Yield Corporate Bonds in Institutional Portfolios (AbsolutReport, Hamburg, May 2010)
- Capital and Tax – The Most Important Topic of 2008 (Banken+Partner, Paderborn, June 2007)
- Alternative Strategies in Portfolio Management (Journal for Bavarian Cooperative Banks, Munich, October 2004)
- Occupational Pension Schemes: Revenue Sources in Corporate Customer Business (Zeitschrift für das Gesamte Kreditwesen, Frankfurt, February 2003)
- Quant Suits Sophisticated Investors (Investment & Pensions Europe, London, April 2002)
- Specialfunds 2001 (Bankinformation Magazine, October 2001