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Portfolio-orientiertes Management mit Preisrisiken in Kreditinstituten
Hartschuh, Thomas, (1996)
Handbuch derivativer Instrumente : Produkte, Strategien und Risikomanagement
Eller, Roland, (1998)
Marktwertcontrolling im Währungsportfolio
Nolte, Matthias, (1997)
Predictability of stock returns : is it rational?
Azar, Samih Antoine, (2002)
Econometric diagnostics to distinguish between the IS curve and the Ricardian equivalence
Azar, Samih Antoine, (2005)
Excess volatility in the US stock market : evidence to the contrary
Azar, Samih Antoine, (2004)