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isPartOf:"Advanced bond portfolio management : best practices in modeling and strategies"
subject:"Theorie"
~isPartOf:"Gabler Edition Wissenschaft"
~subject:"Derivat"
~subject:"United States"
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Risikomanagement
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Risk management
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23
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Advanced bond portfolio management : best practices in modeling and strategies
Gabler Edition Wissenschaft
Insurance / Mathematics & economics
160
European journal of operational research : EJOR
124
Journal of banking & finance
100
SpringerLink / Bücher
74
Risks : open access journal
72
Working paper / National Bureau of Economic Research, Inc.
57
Journal of risk management in financial institutions
48
Energy economics
42
NBER working paper series
41
Europäische Hochschulschriften / 5
38
Journal of risk and financial management : JRFM
37
Finance research letters
35
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34
Journal of risk
33
Agricultural finance review
29
Quantitative finance
28
Management science : journal of the Institute for Operations Research and the Management Sciences
27
NBER Working Paper
27
Discussion paper / Centre for Economic Policy Research
26
Economic modelling
26
International journal of production economics
26
American journal of agricultural economics
25
The review of financial studies
25
International journal of production research
24
International journal of theoretical and applied finance
24
Research paper series / Swiss Finance Institute
24
The journal of finance : the journal of the American Finance Association
24
International review of financial analysis
22
Journal of empirical finance
22
Journal of financial economics
22
The European journal of finance
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Applied economics
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Finance and stochastics
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Scandinavian actuarial journal
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Schriftenreihe Finanzmanagement
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The journal of risk and insurance : the journal of the American Risk and Insurance Association
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Wiley finance series
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International review of economics & finance : IREF
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ECONIS (ZBW)
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Integrated market and credit portfolio models : risk measurement and computational aspects
Grundke, Peter
-
2008
-
1. Aufl.
Persistent link: https://www.econbiz.de/10003631757
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2
Überwachung operationeller Risiken bei Banken : interne und externe Akteure im Rahmen qualitativer und quantitativer Überwachung
Kunze, Britta
-
2007
-
1. Aufl.
Persistent link: https://www.econbiz.de/10003400539
Saved in:
3
Überwachung operationeller Risiken bei Banken : Interne und externe Akteure im Rahmen qualitativer und quantitativer Überwachung
Kunze, Britta
-
2007
-
1. Aufl.
Persistent link: https://www.econbiz.de/10013515449
Saved in:
4
Risikomanagement und Personal : Management des Fluktuationsrisikos von Schlüsselpersonen aus ressourcenorientierter Perspektive
Führing, Meik
-
2006
-
1. Aufl.
Persistent link: https://www.econbiz.de/10003359323
Saved in:
5
Management operationeller Risiken in Banken
Lammers, Frauke
-
2005
-
1. Aufl.
Persistent link: https://www.econbiz.de/10002509275
Saved in:
6
Das Management von Know-how-Risiken : eine Analyse von Wissensverlusten im Investment Banking einer Großbank
Knaese, Birgit
-
2004
-
1. Aufl.
Persistent link: https://www.econbiz.de/10001876047
Saved in:
7
Risikomanagement bei Immobilieninvestments : Entscheidungshilfen für institutionelle Anleger
Baumeister, Alexander
-
2004
-
1. Aufl.
Persistent link: https://www.econbiz.de/10001876058
Saved in:
8
Strategische Implikationen des Kreditrisikomanagements von Banken
Germann, Stephan
-
2004
-
1. Aufl.
Persistent link: https://www.econbiz.de/10001876075
Saved in:
9
Integriertes Chancen- und Risikomanagement : zur ertrags- und risikoorientierten Steuerung von Real- und Finanzinvestitionen in der Industrieunternehmung
Huther, Andreas
-
2003
-
1. Aufl.
Persistent link: https://www.econbiz.de/10001788022
Saved in:
10
Risikomanagement im Kontext der wertorientierten Unternehmensführung
Wolf, Klaus
-
2003
-
1. Aufl.
Persistent link: https://www.econbiz.de/10001788028
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