Kreditrisikomanagement : Portfoliomodelle und Derivate




Professorship/Faculty: Finance  
Authors: Oehler, Andreas  
Responsibility: Andreas Oehler (Hrsg.)
Publisher Information: Stuttgart : Schäffer-Poeschel
Year of publication: 2000
Pages / Size: XI, 190 S. : graph. Darst.
Language(s): German
Document Type: Book
URI: https://fis.uni-bamberg.de/handle/uniba/6716
Release Date: 24. September 2014