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901 |
Risikoverhalten von Investmentfondsmanagern Thiele, Tanja. - Wiesbaden : Gabler, 2009, 1. Aufl.
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902 |
Risk aversion in the bond market Herzog, Sebastian, 2009
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903 |
Robust static super-replication of barrier options Maruhn, Jan H.. - Berlin : de Gruyter, 2009
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904 |
Stochastic impulse control and asset allocation with liquidity breakdowns Diesinger, Peter M., 2009
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905 |
Stock picking via nonsymmetrically pruned binary decision trees with reject option Andriyashin, Anton V., 2009
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906 |
Strategies, paradigms and systems for Shariah-compliant portfolio management Marzban, Shehab. - Aachen : Shaker, 2009
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907 |
Strategische Beurteilung von private-equity-finanzierten Buyouts Farschtschian, Pedram. - Bern : Haupt, 2009, 1. Aufl.
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908 |
Strukturierte Produkte und Behavioral Finance Helberger, Dominik, 2009
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909 |
The binomial approach to option valuation Müller, Stefanie, 2009
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910 |
The influence of expectations, risk attitudes, and behavioral biases on investment decisions Nosić, Alen, 2009
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