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341 |
Steuerung bankbetrieblicher operationeller Risiken durch Versicherungen Hohe, Saskia. - Aachen : Shaker, 2011, 1. Aufl.
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342 |
Steuerung der Liquiditätsbevorratung in Banken anhand eines quantitativen Transferpreismodells Schäffler, Christian. - Lohmar : Eul, 2011, 1. Aufl.
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343 |
Strategische Beobachtungsfelder der Unternehmenskommunikation Hug, Christoph. - Luzern : IFZ, 2011
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344 |
Systemic risk in interbank markets Georg, Pierre Georg, 2011
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345 |
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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346 |
The Taylor rule in an open economy Wilde, Wolfram, 2011
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347 |
The Taylor rule in times of crisis Klose, Jens, 2011
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348 |
Treatment of Double Default Effects within the Basel Regulatory Framework and a Theoretical and an Experimental Investigation of Higher-Order Risk Preferences Ebert, Sebastian. - Bonn : Universitäts- und Landesbibliothek Bonn, 2011
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349 |
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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350 |
User-Anonymität in Mobile-Payment-Systemen Kaymaz, Feyyat. - Kassel : Kassel Univ. Press, 2011
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