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~isPartOf:"Frankfurt School of Finance & Management - Working Paper"
~isPartOf:"No. 137(2010)"
~language:"deu"
~person:"Balthasar; Daniel"
~subject:"Risikoanalyse"
~subject:"Risikoverteilung"
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Risikoanalyse
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Hedge Fund
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Portfoliomanagement
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portfolio management
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Balthasar; Daniel
Cremers, Heinz
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Heidorn, Thomas
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Frankfurt School of Finance & Management
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Frankfurt School of Finance & Management - Working Paper
No. 137(2010)
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Portfoliooptimierung mit Hedge Fonds unterbesonderer Berücksichtigung der Risikokomponente
Balthasar; Daniel
;
Cremers, Heinz
;
Schmidt, Michael
-
Frankfurt School of Finance & Management
-
2002
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