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171 - 180 von 391
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Online Ressourcen 171 Extendibility of Marshall-Olkin distributions via Lévy subordinators and an application to portfolio credit risk
Mai, Jan-Frederik, 2010
Online Ressource
Online Ressourcen 172 Hedging in affine stochastic volatility models
Vierthauer, Richard. - Kiel : Universitätsbibliothek Kiel, 2010
Online Ressource
Online Ressourcen 173 Herding of Institutional Traders
Kremer, Stephanie. - Berlin : Humboldt-Universität zu Berlin, 2010
Online Ressource
Online Ressourcen 174 Investment decisions and effort incentives in the presence of uncertain ability
Anton, Björn, 2010
Online Ressource
Online Ressourcen 175 Investment & portfolio decisions with uncertainty and market frictions
Reeder, Johannes, 2010
Online Ressource
Online Ressourcen 176 Investor beliefs and forecast evaluation
Wang, Qingwei, 2010
Online Ressource
Online Ressourcen 177 Linkages between international securitized real estate markets
Schindler, Felix. - Mannheim : Universitätsbibliothek Mannheim, 2010
Online Ressource
Online Ressourcen 178 Markowitz Theory–Based Asset Allocation Strategies with Special Regard to Private Wealth Management
Ha, Haifeng. - Rostock : Universität Rostock, 2010
Online Ressource
Online Ressourcen 179 Optimal portfolios for executive stockholders
Desmettre, Sascha, 2010
Online Ressource
Online Ressourcen 180 Power generation assets
Enge, Thomas, 2010
Online Ressource


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