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~person:"Serf, Bernd"
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Entscheidungsmodell
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Messung
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Portfolio Selection
2
Portfolio selection
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Portfolio-Management
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Risiko
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Serf, Bernd
Acemoglu, Daron
571
Nijkamp, Peter
561
Pesaran, M. Hashem
536
Güth, Werner
518
Stiglitz, Joseph E.
461
Snower, Dennis J.
451
Gersbach, Hans
449
Pestieau, Pierre
441
Stark, Oded
430
Zenou, Yves
403
Creedy, John
402
Koskela, Erkki
400
Franses, Philip Hans
398
Gupta, Rangan
395
Aizenman, Joshua
390
Heckman, James J.
371
Phillips, Peter C. B.
364
Honkapohja, Seppo
362
Evans, George W.
357
Helpman, Elhanan
356
Woodford, Michael
346
Frey, Bruno S.
345
Bergemann, Dirk
340
Svensson, Lars E. O.
338
Cremer, Helmuth
336
McAleer, Michael
333
Broll, Udo
332
Konrad, Kai A.
325
Kaplow, Louis
321
Thisse, Jacques-François
318
Batabyal, Amitrajeet A.
314
Tirole, Jean
310
Shavell, Steven
308
Härdle, Wolfgang
305
Morris, Stephen
300
Lambertini, Luca
296
Artus, Patrick
295
Buiter, Willem H.
294
Diebold, Francis X.
290
Grossman, Gene M.
283
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Europäische Hochschulschriften / 5
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ECONIS (ZBW)
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Portfolio selection auf der Grundlage symmetrischer und asymmetrischer Risikomaße
Serf, Bernd
-
1995
Persistent link: https://www.econbiz.de/10000541122
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Portfolio Selection auf der Grundlage symmetrischer und asymmetrischer Risikomaße
Serf, Bernd
-
1995
Persistent link: https://www.econbiz.de/10012699313
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