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141 |
Experimental and theoretical essays in auctions and financial markets Geōrganas, Sōtērēs, 2010
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142 |
Experimental studies of overconfidence in financial markets Michailova, Julija, 2010, [Online-Ausg.]
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143 |
Extendibility of Marshall-Olkin distributions via Lévy subordinators and an application to portfolio credit risk Mai, Jan-Frederik, 2010
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144 |
Hedging in affine stochastic volatility models Vierthauer, Richard. - Kiel : Universitätsbibliothek Kiel, 2010
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145 |
Investment decisions and effort incentives in the presence of uncertain ability Anton, Björn, 2010
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146 |
Investment & portfolio decisions with uncertainty and market frictions Reeder, Johannes, 2010
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147 |
Investor beliefs and forecast evaluation Wang, Qingwei, 2010
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148 |
Markowitz Theory–Based Asset Allocation Strategies with Special Regard to Private Wealth Management Ha, Haifeng. - Rostock : Universität Rostock, 2010
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149 |
Optimal portfolios for executive stockholders Desmettre, Sascha, 2010
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150 |
Power generation assets Enge, Thomas, 2010
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