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subject:"Portfolio selection"
subject:"World"
~type_genre:"Book section"
~type_genre:"Conference paper"
~type_genre:"Sammelwerk"
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Gesellschaft für Wirtschafts- und Sozialwissenschaften des Landbaues / Jahrestagung <59., 2019, Braunschweig>
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Sovereign wealth management
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Advanced bond portfolio management : best practices in modeling and strategies
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Central bank reserve management : new trends, from liquidity to return
7
Retirement provision in scary markets
6
The panic of 2008 : causes, consequences and implications for reform
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Études et dossiers / Association Internationale pour l'Étude de l'Économie de l'Assurance
6
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Risk assessment and financial regulation in emerging markets' banking : trends and prospects
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Risk management for central bank foreign reserves
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Stress-testing the banking system : methodologies and applications
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Debt, risk and liquidity in futures markets
4
Financial modeling and risk management of energy and environmental instruments and derivates
4
Managing business risk : a practical guide to protecting your business
4
New issues in financial and credit markets
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4
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4
The handbook of commodity investing
4
CreditRisk+ in the banking industry
3
Der Betrieb
3
Global risk management : financial, operational, and insurance strategies
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Handbuch ökonomisches Kapitel
3
Journal of risk management in financial institutions
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3
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Asset management at central banks and monetary authorities : new practices in managing international foreign exchange reserves
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Asset-liability management with ultra-low interest rates, March 11, 2015 : [a conference jointly organized by SUERF, the OeNB and the Austrian Society for Bank Research]
2
Chapman & Hall/CRC financial mathematics series
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Climate investing : new strategies and implementation challenges
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Commercial banking risk management : regulation in the wake of the financial crisis
2
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2
Credit risk : models, derivatives, and management
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ECONIS (ZBW)
659
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651
Quantitative Verfahren im Finanzmarktbereich
Schröder, Michael
(
ed.
)
-
1996
-
1. Aufl.
Persistent link: https://www.econbiz.de/10000592147
Saved in:
652
Risikosteuerung von Derivaten
Krumnow, Jürgen
(
ed.
)
-
1996
Persistent link: https://www.econbiz.de/10000588365
Saved in:
653
Global portfolio diversification : risk management, market microstructure, and implementation issues
Aggarwal, Raj
(
ed.
);
Schirm, David Craig
(
contributor
)
-
1995
Persistent link: https://www.econbiz.de/10000921137
Saved in:
654
The new financial landscape : forces shaping the revolution in banking, risk management and capital markets
Blommestein, Hans J.
-
1995
Persistent link: https://www.econbiz.de/10014272695
Saved in:
655
Derivate Finanzinstrumente
Rudolph, Bernd
(
ed.
)
-
1995
Persistent link: https://www.econbiz.de/10014272811
Saved in:
656
Managing energy price risk
Jameson, Robert
(
ed.
)
-
1995
Persistent link: https://www.econbiz.de/10013552173
Saved in:
657
Financial risk in insurance
Ottaviani, Giovanni
(
contributor
);
Ottaviani, Giuseppe
(
ed.
)
-
1995
Persistent link: https://www.econbiz.de/10000532103
Saved in:
658
Traditional crop breeding practices : an historical review to serve as a baseline for assessing the role of modern biotechnology
Organisation for Economic Co-operation and Development
-
1993
Persistent link: https://www.econbiz.de/10014005014
Saved in:
659
Risk, portfolio management and capital markets
Cooke, Terence E.
(
ed.
)
-
1992
-
1. publ.
Persistent link: https://www.econbiz.de/10013487016
Saved in:
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