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isPartOf:"Schriftenreihe QM : quantitative Methoden in Forschung und Praxis"
type_genre:"Hochschulschrift"
~isPartOf:"Bank- und finanzwirtschaftliche Forschungen"
~subject:"Financial crisis"
~type_genre:"Non-commercial literature"
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Risikomanagement
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Portfolio-Management
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Schriftenreihe QM : quantitative Methoden in Forschung und Praxis
Bank- und finanzwirtschaftliche Forschungen
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Kreditrisiken der Banken : neue Portfoliomodelle zur konservativen Bemessung des Eigenkapitalbedarfs
Puzanova, Natalia
-
2010
Persistent link: https://www.econbiz.de/10013432098
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Systemrisiken auf Finanzmärkten : unter besonderer Berücksichtigung der Märkte für Derivate
Varnholt, Burkhard
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1995
Persistent link: https://www.econbiz.de/10013417894
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