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Branchenorientierte Steuerung eines Kreditportfolios
Frank, Martin
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1999
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Portfolios of the rich
Carroll, Chris
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2000
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Rebels, conformists, contrarians and momentum traders
Gatev, Evan G.
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Ross, Stephen A.
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2000
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Quantifizierung von Kreditportfoliorisiken : eine Untersuchung zu Modellalternativen und Anwendungsfeldern
Bröker, Frank
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2000
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Kapitalmarktmodelle und erwartete Renditen am deutschen Aktienmarkt
Schneider, Sebastian
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2001
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Style investing
Barberis, Nicholas
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Shleifer, Andrei
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2000
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Portfolio theory and capital markets
Sharpe, William F.
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2000
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Original ed
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Aktie im Fokus : von der Analyse zum going public
Frei, Norbert
(
contributor
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1999
Persistent link: https://www.econbiz.de/10001401280
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Der Einfluss des Zeithorizonts auf die Asset Allocation : eine Betrachtung unter besonderer Berücksichtigung des Investment Opportunity Set und der Risikoaversion
Winhart, Stephanie
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1999
Persistent link: https://www.econbiz.de/10001402966
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Neuronale Netze im Portfolio-Management
Ripper, Klaus
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2000
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