Matthias Muck
Banking und Finanzcontrolling
University of Bamberg
Germany
Biography
Prof. Matthias Muck completed his studies in Business Administration at the WHU - Otto Beisheim School of Management. After his doctorate and his postdoctoral studies at WHU, he was appointed full professor and lecturer of the Chair of Business Administration, in particular Banking and Financial Controlling.
Research Interest
His research interests include derivatives, asset pricing, portfolio management, financial control of banks and company valuation.
Publications
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Marckhoff, Jan ; Muck, Matthias: Bewertung von Stromderivaten . In: Eller, Roland ; Heinrich, Markus ; Perrot, René ; Reif, Markus (Hrsg.) : Management von Rohstoffrisiken - Strategien, Märkte und Produkte. Wiesbaden : Gabler Verlag, 2010, S. 297-325. - ISBN 978-3-8349-1097-4 [doi>10.1007/978-3-8349-8562-0_13]
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Adams, Michael ; Muck, Matthias ; Rudolf, Markus: Basel II – A Guarantee for a Stable Banking System? In: Perspectives, Financial Markets and Portfolio Management 3 (2004), Nr. 18, S. 306-311