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The risks of financial institutions / edited by Mark Carey and René M. Stulz
2
Practical volatility and correlation modeling for financial..:
, In:Copies:
Zentrale:E02 a swl 275/797; BB WiWi: 11a swl 275/797a
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The Handbook of risk / ed. by Ben Warick
3
Horizon problems and extreme events in financial risk manag..:
, In:Copies:
Zentrale:E02 a bwl 772.3/792; BB WiWi: 11a bwl 772.3/792a
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Risk management / ed. by Stephen Figlewski ...
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Modeling liquidity risk, with implications for traditional ..:
, In:Copies:
BB WiWi: 11a bwl 772.3/540
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Statistical methods in finance / ed. by G. S. Maddala ...
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Forecast evaluation and combination:
, In:Copies:
BB WiWi: 11a vwl 933/174-14