Cover von Risikomanagement an internationalen Finanzmärkten opens in new tab

Risikomanagement an internationalen Finanzmärkten

Systemrisiken, Crashpotential, Anlagemanagement, Risikosteuerung
Search for this author
Statement of Responsibility: Christian A. Conrad / Markus Stahl (Hrsg.)
Year: 2000
Publisher: Stuttgart , Schäffer-Poeschel
Media group: Book/Buch
available

Copies

BarcodeLocationsStatus
Barcode: 01012279 Locations: 2.14.1.6 RIS Status: leaving

Details

Search for this author
Statement of Responsibility: Christian A. Conrad / Markus Stahl (Hrsg.)
Year: 2000
Publisher: Stuttgart , Schäffer-Poeschel
opens in new tab
Classification: Search for this systematic 2.14.1.6
Search for this subject type
ISBN: 3-7910-1594-X
Description: XVI, 398 S. : Tab. u. graph. Darst.
Tags: Risk Management, Crisis Management, Financial Market, Hedge Funds, Stock Market, Risikomanagement, Aktienmarkt, Finanzmarkt, Kapitalmarkt, Krisenmanagement
Search for this character
Media group: Book/Buch