Risikomanagement und Diversifikation in der Finanzindustrie : eine akademische Perspektive
Year of publication: |
2010
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Authors: | Wahrenburg, Mark |
Published in: |
Herausforderungen der Finanzmarktkrise für das Bankcontrolling. - Düsseldorf : Fachverl. der Verl.-Gruppe Handelsblatt, ISBN 978-3-942543-04-0. - 2010, p. 1-17
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Subject: | Finanzsektor | Financial sector | Strategisches Management | Strategic management | Shareholder Value | Shareholder value | Diversifikation | Diversification | Unternehmenserfolg | Firm performance |
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