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subject:"Portfolio-Management"
type_genre:"Lehrbuch"
~person:"Glantz, Morton"
~person:"Hirth, Hans"
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Portfolio-Management
Portfolio selection
3
Risikomanagement
3
Risk management
3
Entscheidung bei Risiko
2
Financial economics
2
Kapitalmarkttheorie
2
Portfolio Selection
2
Theorie
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Theory
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Credit risk
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Derivat
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Derivat <Wertpapier>
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Glantz, Morton
Hirth, Hans
Bloss, Michael
6
Gantenbein, Pascal
5
Spremann, Klaus
5
Sörensen, Daniel
4
Albrecht, Peter
3
Kleinknecht, Manuel
3
Maurer, Raimond
3
Miller, Michael B.
3
Callsen-Bracker, Hans-Markus
2
Chance, Don M.
2
Cortez, Annetta
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Fabozzi, Frank J.
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Kremer, Jürgen
2
Melʹnikov, Aleksandr V.
2
Sander, Jörg
2
Anson, Mark J. P.
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Bagasheva, Biliana S.
1
Baker, H. Kent
1
Banks, Erik
1
Becker, Kent Gregory
1
Brooks, Robert
1
Campbell, Tim S.
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Capiński, Marek
1
Chambers, Donald Robert
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Demange, Gabrielle
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Deutsch, Hans-Peter
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Doherty, Neil A.
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Dubofsky, David A.
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Eeckhoudt, Louis
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Eeckhoudt, Louis R.
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Ernst, Dietmar
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Esch, Louis
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Eu, Ching-Hwa
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Filbeck, Greg
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Francis, Jack Clark
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Franzen, Dietmar
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Galitz, Lawrence
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Gitman, Lawrence J.
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ECONIS (ZBW)
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Risikomanagement und Kapitalmarkt : [mit Aufgaben und detaillierten Lösungswegen]
Callsen-Bracker, Hans-Markus
;
Hirth, Hans
-
2010
-
2. Aufl.
Persistent link: https://www.econbiz.de/10008779383
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2
Risikomanagement und Kapitalmarkt : [mit Aufgaben und detaillierten Lösungswegen]
Callsen-Bracker, Hans-Markus
;
Hirth, Hans
-
2009
-
Originalausg., 1. Aufl.
Persistent link: https://www.econbiz.de/10003849274
Saved in:
3
Credit derivatives : techniques to manage credit risk for financial professionals
Banks, Erik
-
2007
Persistent link: https://www.econbiz.de/10013469396
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