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211 |
On utility-based investment, pricing and hedging in incomplete markets Muhle-Karbe, Johannes, 2009
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212 |
Optimal investment in the face of adversity Seifried, Frank Thomas, 2009
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213 |
Pricing, risk and solvency requirements Piaskowski, Wojtek, 2009, [Online-Ausg.]
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214 |
Rating opaque borrowers Bannier, Christina E.. - Frankfurt, M. : Frankfurt School of Finance & Management, 2009
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215 |
Reforms and foreign direct investment Zühlke, Dietmar, 2009
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216 |
Risk aversion in the bond market Herzog, Sebastian, 2009
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217 |
Staatsfonds - "neue" Akteure an den Finanzmärkten? Frankfurt, M. : Frankfurt School of Finance & Management, 2009
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218 |
Steueroptimale internationale Kapitalanlageentscheidung eines deutschen Privatanlegers hinsichtlich Anlagekategorie und Verteilung der Einkünfte Mieth, Robert. - Berlin : Freie Universität Berlin, 2009
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219 |
Stochastic impulse control and asset allocation with liquidity breakdowns Diesinger, Peter M., 2009
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220 |
The economics of algorithmic trading Riordan, Ryan, 2009
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