{"id":88435,"date":"2024-01-22T09:27:01","date_gmt":"2024-01-22T08:27:01","guid":{"rendered":"https:\/\/www.wifo.ac.at\/publication\/88435\/"},"modified":"2024-11-07T00:25:09","modified_gmt":"2024-11-06T23:25:09","slug":"portefeuilleverhalten-von-grossunternehmen-der-industrie","status":"publish","type":"publication","link":"https:\/\/www.wifo.ac.at\/en\/publication\/88435\/","title":{"rendered":"Portfolio Behaviour of Large Manufacturing Firms"},"content":{"rendered":"","protected":false},"featured_media":0,"template":"","class_list":["post-88435","publication","type-publication","status-publish","hentry"],"acf":{"subtitle":"","text":"During the past ten to fifteen years large manufacturing firms have increasingly entered the field of financial intermediation. This tendency can also be observed in Austria. Between 1973 and 1988 the share of financial assets in total assets held by these firms more than doubled. Large firms invested their money mainly in the form of fixed-interest bonds. The major reasons for the growing financial activities of industrial firms are the high interest yields of financial investments, increasing uncertainty about the economy's prospects during the eighties, and a tendency towards increasing management control of these firms.","onlinedate":"1990-07-01 02:00:00","lang":"German","publication_series":"","publication_date":"19900701","publication_date_year":"","publication_date_full":false,"publication_num_pages":"","keywords":"[]","jelcodes":"[]","related_publications":"[]","pdf":279512,"zip":null,"link":"","monthly_report":true,"monthly_report_main":false,"monthly_report_volume":"63","monthly_report_pages":"440-448","monthly_report_pages_sort":"440","issue":"7","journal":"WIFO-Monatsberichte","publisher":"","invisible":false,"external":false,"embargo_date":null,"types":[44312],"research_groups":[3500],"collaboration":"","persons":[3925],"persons_data":"[{\"personId\":3925,\"personName\":\"Franz R. Hahn\",\"organisationNames\":[]}]","clients":[],"subclients":[],"partners":[],"topics":[],"host_publication_title":"","host_publication_subtitle":"","place_of_publication":"","host_publication_editors":"[]","type_description":"","output_media":"","chapter":"","article_number":"","citations":"{\"apa\":\"<div class=\\\"rendering rendering_researchoutput  rendering_researchoutput_apa rendering_contributiontoperiodical rendering_apa rendering_contributiontoperiodical_apa\\\"><span>Hahn, F. R.<\\\/span> (1990). <span>Portefeuilleverhalten von Gro\u00dfunternehmen der Industrie<\\\/span>. <span><em>WIFO-Monatsberichte<\\\/em><\\\/span>, <em>63<\\\/em>(7), 440-448. <a onclick=\\\"window.open(this.href, '_blank','noopener,noreferrer'); return false;\\\" href=\\\"https:\\\/\\\/www.wifo.ac.at\\\/wwa\\\/pubid\\\/1078\\\" class=\\\"link\\\"><span>https:\\\/\\\/www.wifo.ac.at\\\/wwa\\\/pubid\\\/1078<\\\/span><\\\/a><\\\/div>\",\"vancouver\":\"<div class=\\\"rendering rendering_researchoutput  rendering_researchoutput_vancouver rendering_contributiontoperiodical rendering_vancouver rendering_contributiontoperiodical_vancouver\\\"><span>Hahn FR<\\\/span>. <span class=\\\"title\\\"><span>Portefeuilleverhalten von Gro\u00dfunternehmen der Industrie<\\\/span><\\\/span>. <span>WIFO-Monatsberichte<\\\/span>. 1990 Jul;63(7):440-448.<\\\/div>\",\"bibtex\":\"<div class=\\\"rendering rendering_researchoutput  rendering_researchoutput_bibtex rendering_contributiontoperiodical rendering_bibtex rendering_contributiontoperiodical_bibtex\\\"><div>@misc{fc961b675c3647b9b9cf08aebe9e43a6,<\\\/div><div>  title    = \\\"Portefeuilleverhalten von Gro{\\\\ss}unternehmen der Industrie\\\",<\\\/div><div>  abstract = \\\"Gro{\\\\ss}unternehmen der Industrie dringen in den modernen Industriestaaten seit 10 bis 15 Jahren zunehmend in den Bereich der Finanzintermediation vor. Auch in {\\\\\\\"O}sterreich ist ein verst{\\\\\\\"a}rktes Engagement der Gro{\\\\ss}unternehmen auf den Finanzm{\\\\\\\"a}rkten festzustellen. Der Anteil des Finanzverm{\\\\\\\"o}gens am Gesamtverm{\\\\\\\"o}gen dieser Unternehmen hat sich von 1973 bis 1988 mehr als verdoppelt. Die bevorzugte Veranlagungsform der Gro{\\\\ss}unternehmen war in diesem Zeitraum das festverzinsliche Wertpapier. Das hohe Zinsniveau von Finanztiteln, die wachsende Konjunkturunsicherheit in den achtziger Jahren und der zunehmende Managereinflu{\\\\ss} im Unternehmen d{\\\\\\\"u}rften die Hauptursachen f{\\\\\\\"u}r das verst{\\\\\\\"a}rkte Auftreten der Gro{\\\\ss}unternehmen als Finanzintermedi{\\\\\\\"a}re sein.\\\",<\\\/div><div>  keywords = \\\"Portefeuilleverhalten von Gro{\\\\ss}unternehmen der Industrie; Portfolio Behaviour of Large Manufacturing Firms\\\",<\\\/div><div>  author   = \\\"Hahn, \\\\{Franz R.\\\\}\\\",<\\\/div><div>  year     = \\\"1990\\\",<\\\/div><div>  month    = jul,<\\\/div><div>  language = \\\"Deutsch\\\",<\\\/div><div>  volume   = \\\"63\\\",<\\\/div><div>  pages    = \\\"440--448\\\",<\\\/div><div>  journal  = \\\"WIFO-Monatsberichte\\\",<\\\/div><p>}<\\\/p><\\\/div>\",\"ris\":\"<div class=\\\"rendering rendering_researchoutput  rendering_researchoutput_ris rendering_contributiontoperiodical rendering_ris rendering_contributiontoperiodical_ris\\\"><p>TY  - GEN<\\\/p><p>T1  - Portefeuilleverhalten von Gro\u00dfunternehmen der Industrie<\\\/p><p>AU  - Hahn, Franz R.<\\\/p><p>PY  - 1990\\\/7<\\\/p><p>Y1  - 1990\\\/7<\\\/p><p>N2  - Gro\u00dfunternehmen der Industrie dringen in den modernen Industriestaaten seit 10 bis 15 Jahren zunehmend in den Bereich der Finanzintermediation vor. Auch in \u00d6sterreich ist ein verst\u00e4rktes Engagement der Gro\u00dfunternehmen auf den Finanzm\u00e4rkten festzustellen. Der Anteil des Finanzverm\u00f6gens am Gesamtverm\u00f6gen dieser Unternehmen hat sich von 1973 bis 1988 mehr als verdoppelt. Die bevorzugte Veranlagungsform der Gro\u00dfunternehmen war in diesem Zeitraum das festverzinsliche Wertpapier. Das hohe Zinsniveau von Finanztiteln, die wachsende Konjunkturunsicherheit in den achtziger Jahren und der zunehmende Managereinflu\u00df im Unternehmen d\u00fcrften die Hauptursachen f\u00fcr das verst\u00e4rkte Auftreten der Gro\u00dfunternehmen als Finanzintermedi\u00e4re sein.<\\\/p><p>AB  - Gro\u00dfunternehmen der Industrie dringen in den modernen Industriestaaten seit 10 bis 15 Jahren zunehmend in den Bereich der Finanzintermediation vor. Auch in \u00d6sterreich ist ein verst\u00e4rktes Engagement der Gro\u00dfunternehmen auf den Finanzm\u00e4rkten festzustellen. Der Anteil des Finanzverm\u00f6gens am Gesamtverm\u00f6gen dieser Unternehmen hat sich von 1973 bis 1988 mehr als verdoppelt. Die bevorzugte Veranlagungsform der Gro\u00dfunternehmen war in diesem Zeitraum das festverzinsliche Wertpapier. Das hohe Zinsniveau von Finanztiteln, die wachsende Konjunkturunsicherheit in den achtziger Jahren und der zunehmende Managereinflu\u00df im Unternehmen d\u00fcrften die Hauptursachen f\u00fcr das verst\u00e4rkte Auftreten der Gro\u00dfunternehmen als Finanzintermedi\u00e4re sein.<\\\/p><p>KW  - Portefeuilleverhalten von Gro\u00dfunternehmen der Industrie; Portfolio Behaviour of Large Manufacturing Firms<\\\/p><p>M3  - WIFO-Schriftenreihen<\\\/p><p>VL  - 63<\\\/p><p>SP  - 440<\\\/p><p>EP  - 448<\\\/p><p>JO  - WIFO-Monatsberichte<\\\/p><p>JF  - WIFO-Monatsberichte<\\\/p><p>ER  - <\\\/p><\\\/div>\"}","scientific_assistance":"[]","scientific_review":"[]","version":"","release_date":null,"expiration_date":null,"surveyor":"","research_assistance":"","edv":"","additional_info_de":"","additional_info_en":""},"yoast_head":"<!-- This site is optimized with the Yoast SEO Premium plugin v28.0 (Yoast SEO v28.0) - https:\/\/yoast.com\/product\/yoast-seo-premium-wordpress\/ -->\n<title>Portfolio Behaviour of Large Manufacturing Firms - 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