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subject:"Risikomanagement"
~isPartOf:"CESifo working papers"
~isPartOf:"Veröffentlichungen des Instituts für Versicherungswissenschaft der Universität Mannheim"
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Risikomanagement
Futures
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Portfolio selection
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Portfolio-Management
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Theorie
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Theory
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Volatility
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Volatilität
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1991-2007
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Asset-liability management
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Bilanzstrukturmanagement
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Controlling
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Correlation
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Currency derivative
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Derivat
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EU countries
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Option trading
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Optionsgeschäft
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Prognoseverfahren
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Risikomaß
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Bährle, Hermann F. W.
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Pesaran, M. Hashem
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Schleicher, Christoph
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Zaffaroni, Paolo
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CESifo working papers
Veröffentlichungen des Instituts für Versicherungswissenschaft der Universität Mannheim
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Routledge advanced text in economics and finance
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CESifo Working Paper Series
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Debt, risk and liquidity in futures markets
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Discussion paper / Leibniz Institute of Agricultural Development in Transition Economies
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Discussion paper / Tinbergen Institute
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Econometric Institute research papers
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Edward Elgar E-Book Archive
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Essentials Ser
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Innovative Modellierung und Optimierung von Energiesystemen
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Journal of property investment & finance
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Kredit und Kapital
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McGraw-Hill library of investment and finance
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Regulierung oder Deregulierung der Finanzmärkte : mit 34 Tabellen
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Risiko-Manager
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Schriftenreihe Volkswirtschaftliche Forschungsergebnisse
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The journal of futures markets
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The professional risk managers' guide to financial instruments
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ECONIS (ZBW)
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Model Averaging in Risk Management with an Application to Futures Markets
Pesaran, M. Hashem
(
contributor
); …
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2008
Persistent link: https://www.econbiz.de/10003641741
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Risiko-Controlling des Einsatzes derivativer Finanzinstrumente in der Kapitalanlage von Versicherungsunternehmen
Bährle, Hermann F. W.
-
1997
Persistent link: https://www.econbiz.de/10000630496
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