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81 |
Essays on operational risk in the financial services industry Hess, Christian, 2011
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82 |
Kreditportfoliooptimierung unter Konzentrationsgesichtspunkten Koch, Jens. - Köln : WiKu, 2011, 1. Aufl.
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83 |
Kreditrisikosteuerung mithilfe von Credit Spreads Müller, Markus Andreas. - Aachen : Shaker, 2011
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84 |
Managing information technology projects in the financial service industry Prifling, Michael, 2011
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85 |
Problemkreditmanagement im deutschen Kreditgeschäft Schlösser, Tanja. - Lohmar : Eul, 2011, 1. Aufl.
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86 |
Sales management control strategies in banking Mueller, Florian. - Wiesbaden : Gabler, 2011, 1. ed.
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87 |
Statistische Methoden zur Quantifizierung und Schätzung des Loss Given Default Elbracht, Hans Christian. - Lohmar : Eul, 2011, 1. Aufl.
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88 |
The effect of salesperson behavior and the influence of attributional thinking on customer reactions to an "open architecture" product offering Daun, Winfried. - Göttingen : Optimus-Verl., 2011, 1. ed.
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89 |
Treatment of double default effects within the Basel Regulatory Framework and a theoretical and an experimental investigation of higher-order risk preferences Ebert, Sebastian, 2011
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90 |
Wissensmanagement im Bankvertrieb Peters, Anja. - Regensburg : Univ.-Verl. Regensburg, c 2011
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