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Variance risk premium is arguably one of the most important and robust risk premia documented in the academic finance. The first chapter of this thesis deals with variance risk on the FX market: therein, I recover risk-neutralized covariance matrices of currency returns and combine them with ex...
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Inhalt: 1. Die historische Ausgangslage (Weidenfeld, Werner: Europa - aber wo liegt es? - Schulze, Hagen: Nation und Nationalstaat im Wandel) . - 2. Die Staatenwelt in Europa (Woyke, Wichard: Belgien, die Niederlande und Luxemburg. - Gros, Jürgen: Bundesrepublik Deutschland. - Menudier, Henri:...
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"Presenting recent research on the international integration of infrastructures in Europe this book combines general …
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- divulge the multifaceted nature of transition, whether in the form of labour migration, short-term mobility (including among …
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