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811 |
Monetary management of transition in China : Balancing short-run risks and long-run optimality Diehl, Markus. - Kiel : Kiel Institute for the World Economy (IfW), 2005
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812 |
Niederschlagsderivate Frankfurt, M. : HfB, 2005
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813 |
On some aspects of investment into high-yield bonds Kovilyanskaya, Helen, 2005
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814 |
Operational risk management Adusei-Poku, Kwabena, 2005
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815 |
Payout Policy and Owners' Interests – Evidence from German Savings Banks Kleff, Volker. - Mannheim : Universitätsbibliothek Mannheim, 2005
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816 |
Pegs, Baskets, and the Importance of Policy Credibility : Lessons of the 1992-93 ERM Crisis Volz, Ulrich. - Hamburg : Hamburg Institute of International Economics (HWWA), 2005
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817 |
Portfolio optimization with risk constraints Gandy, Ralf, 2005
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818 |
Risk analysis of financial time series using neural networks Andoh, Charles, 2005
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819 |
Segmentermittlung und -potentialbewertung im Wertpapiergeschäft für private Investoren unter Anwendung eines Fuzzy-Systems Beemelmann, Thomas, 2005
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820 |
The adjustment of credit ratings of defaulted issuers Güttler, André. - Frankfurt am Main : Univ.-Bibliothek Frankfurt am Main, 2005
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