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person:"Zeranski, Stefan"
subject:"Risikomanagement"
~isPartOf:"Applied financial economics letters"
~person:"Dowd, Kevin"
~person:"Fabozzi, Frank J."
~subject:"Bank risk"
~subject:"Estimation"
~subject:"Marktrisiko"
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Applied financial economics letters
The Frank J. Fabozzi series
9
Valuation, financial modeling, and quantitative tools
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Die Bankenkrise : Ursachen und Folgen im Risikomanagement
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Discussion paper / The Pensions Institute, Cass Business School, City University
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The handbook of fixed income securities
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Approaches to enterprise risk management
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Bank-Praktiker : rechtssicher, revisionsfest, risikogerecht
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Basel III, Risikomanagement und neue Bankenaufsicht
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Dissertationsreihe / GUC, Gesellschaft für Unternehmensrechnung und Controlling
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European journal of operational research : EJOR
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Financial markets and instruments
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Finanzkrise 2.0 und Risikomanagement von Banken : regulatorische Entwicklungen - Konzepte für die Umsetzung
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Frank J. Fabozzi Ser
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Frank J. Fabozzi Series
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North American actuarial journal : NAAJ ; leading the way with original research and innovative applications for actuarial science
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Risiko-Manager
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Risikomanagement aus Bankenperspektive : Grundlagen, mathematische Konzepte und Anwendungsfelder ; [Tagung "Mathematik bei Banken und Versicherungen", Dezember 2003 an der TU Bergakademie Freiberg]
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Studies in nonlinear dynamics and econometrics : SNDE ; quarterly publ. electronically on the internet
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The handbook of commodity investing
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Optimal mortgage refinancing : application of bond valuation tools to household risk management
Kalotay, Andrew J.
;
Yang, Deane
;
Fabozzi, Frank J.
- In:
Applied financial economics letters
4
(
2008
)
1/3
,
pp. 141-149
Persistent link: https://www.econbiz.de/10003725347
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