Risikopolitik in Kreditinstituten
Year of publication: |
1998 ; 3., veränd. Aufl.
|
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Authors: | Schulte, Michael |
Published in: | |
Publisher: |
Frankfurt am Main : Bank-Akad.-Verl. |
Subject: | Bank | Risikomanagement |
Description of contents: | Table of Contents [digitool.hbz-nrw.de] |
Extent: | 237 S. : graph. Darst. |
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Series: | Bank-Controlling ; 2 |
Type of publication: | Book / Working Paper |
Language: | German |
Notes: | Literaturverz. S. 225 - 230 |
ISBN: | 3-933165-12-1 |
Classification: | Banken, Versicherungen |
Source: |
-
Risikomanagement mit Zins-Futures und Futures-Optionen
Fiebach, Günter, (1994)
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Cramer, Jürgen, (1993)
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Chorafas, Dimitris N., (1992)
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Dirksmeyer, Walter, (2016)
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Danne, Michael, (2018)
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Schulte, Michael, (1993)
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