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2771 |
Multiresolution analysis of long time series with applications to finance Högn, Ralph, 2005
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2772 |
New Keynesian perspectives on monetary policy and the business cycle in closed economies and monetary unions Mayer, Eric, 2005
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2773 |
On some aspects of investment into high-yield bonds Kovilyanskaya, Helen, 2005
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2774 |
Optimal monetary policy with a zero bound on nominal interest rates Billi, Roberto M., 2005
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2775 |
Optimal portfolio management in highly volatile markets Stoyanov, Stoyan V., 2005
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2776 |
Optimale Geldpolitik und die Taylor-Regel Cagnolati, Steffen. - Duisburg : Mercator School of Management, 2005
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2777 |
Option pricing and hedging in A model Wallbaum, Kai, 2005
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2778 |
Polen auf dem Weg zur Europäischen Währungsunion Milek, Joanna, 2005
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2779 |
Portfolio optimization with risk constraints Gandy, Ralf, 2005
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2780 |
Private Finanzplanung: strategische Aktionsfelder und Kernelemente kundenorientierter Geschäftsmodelle Neugebauer, Natascha M., 2005
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