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Derivate und Interne Modelle

[modernes Risikomanagement]
Author: Search for this author Deutsch, Hans-Peter
Statement of Responsibility: Hans-Peter Deutsch
Year: 2004
Publisher: Stuttgart , Schäffer-Poeschel
Media group: Book/Buch
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Barcode: 01037302 Locations: 2.14.1.6 DEU Status: leaving

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Author: Search for this author Deutsch, Hans-Peter
Statement of Responsibility: Hans-Peter Deutsch
Year: 2004
Publisher: Stuttgart , Schäffer-Poeschel
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Classification: Search for this systematic 2.14.1.6
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ISBN: 3-7910-2211-3
Description: 3., überarb. und erw. Aufl., XVI, 699 S. : Tab. u. graph. Darst. + CD-ROM
Tags: Banking, Finanzderivate, Hedging, Option Pricing Theory, Risk Management, Portfolio Management, Bankwesen, Optionspreistheorie, Risikomanagement, Portfolio Selection, Portfolio optimization
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Media group: Book/Buch