Makro-Märkte und Risikomanagement in der Europäischen Währungsunion
Year of publication: |
2000
|
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Authors: | Cornelius, Peter |
Subject: | Asymmetrische Schocks | Eurozone | Euro area | Optimaler Währungsraum | Optimum currency area | Schock | Shock | Konjunktur | Business cycle | Hedging | Rückversicherung | Reinsurance | Versicherungsmathematik | Actuarial mathematics | Derivat | Derivative | Theorie | Theory | EU-Staaten | EU countries |
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