Risk, portfolio management and capital markets
Year of publication: |
1992
|
---|---|
Other Persons: | Cooke, Terence E. (contributor) |
Publisher: |
Basingstoke [u.a.] : Macmillan |
Subject: | Kapitalmarkt | Portfoliomanagement | Risikomanagement | Kongress | Exeter <1989> |
Description of contents: | Table of Contents [digitool.hbz-nrw.de] |
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Johnson, Omotunde E. G., (2002)
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Retirement provision in scary markets
Bateman, Hazel, (2007)
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Bamberg, Günter, (1984)
- More ...
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An Analysis of Thai Financial Reporting Practices and the Impact of the 1997 Economic Crisis
SUTTHACHAI, SIRILUCK, (2009)
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Financial disclosure regulation and its environment: A review and further analysis
Cooke, Terence E., (1990)
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The Profits of the Dutch East India Company's Japan Trade
Camfferman, Kees, (2004)
- More ...