Thinking finance with a view towards risk management
Year of publication: |
October 23, 2017
|
---|---|
Authors: | Sander, Jörg |
Institutions: | epubli GmbH (publisher) |
Publisher: |
Berlin : epubli GmbH |
Subject: | Kapitalmarkttheorie | Financial economics | Derivat | Derivative | Risikomanagement | Risk management | Portfolio-Management | Portfolio selection | Hedging | Theorie | Theory |
Description of contents: | Table of Contents [gbv.de] ; Description [deposit.dnb.de] ; Description [epubli.de] ; Description [epubli.de] ; Description [epubli.de] ; Description [epubli.de] |
Extent: | vi, 296 Seiten Illustrationen 29.7 cm x 21 cm, 1247 g |
---|---|
Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Lehrbuch ; Textbook |
Language: | English |
ISBN: | 3-7450-3044-3 ; 978-3-7375-2405-6 ; 978-3-7450-3044-0 |
Source: | ECONIS - Online Catalogue of the ZBW |
-
Kreditportfoliosteuerung mit Sekundärmarktinstrumenten
Poppensieker, Thomas, (2002)
-
An Intuitive Introduction to Finance and Derivatives : Concepts, Terminology and Models
Backwell, Alex, (2023)
-
Risk management, speculation, and derivative securities
Poitras, Geoffrey, (2002)
- More ...
-
Moise, Gabriela, (2008)
-
Finance in a nutshell with a view towards risk management
Sander, Jörg, (2014)
-
Entwicklung und Monitoring von E-Learning mit der Learning Scorecard
Bungert, Eva, (2005)
- More ...