Risikoverhalten von Aktienfondsmanagern

eine spieltheoretische und empirische Analyse

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Last edited by ImportBot
October 4, 2021 | History

Risikoverhalten von Aktienfondsmanagern

eine spieltheoretische und empirische Analyse

1. Aufl.
  • 0 Ratings
  • 0 Want to read
  • 0 Currently reading
  • 0 Have read

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Publish Date
Publisher
Gabler
Language
German
Pages
286

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Previews available in: German

Edition Availability
Cover of: Risikoverhalten von Aktienfondsmanagern
Cover of: Risikoverhalten Von Aktienfondsmanagern

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Book Details


Edition Notes

Zugl.: Duisburg-Essen, Universit at, Diss., 2009.

Published in
Wiesbaden
Series
Gabler research : Finanz- und bankwirtschaftliche Forschung

Classifications

Library of Congress
HB71-74

The Physical Object

Pagination
XXIII, 286 S. :
Number of pages
286

ID Numbers

Open Library
OL25545921M
Internet Archive
risikoverhaltenv00dell
ISBN 10
3834921386
ISBN 13
9783834921383
OCLC/WorldCat
633612349

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History

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October 4, 2021 Edited by ImportBot import existing book
July 28, 2014 Created by ImportBot import new book