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Risikomanagement an internationalen Finanzmärkten : Systemrisiken, Crashpotential, Anlagemanagement, Risikosteuerung

Title data

Risikomanagement an internationalen Finanzmärkten : Systemrisiken, Crashpotential, Anlagemanagement, Risikosteuerung.
ed.: Conrad, Christian A. ; Stahl, Markus
Stuttgart : Schäffer-Poeschel , 2000 . - XVI, 398 p.
ISBN 3-7910-1594-X

Further data

Item Type: Book / Monograph
Keywords: Aufsatzsammlung; Bankenaufsicht; Bankrisiko; Finanzkrise; Geld; Internationale Wirtschaftspolitik; Internationaler Finanzmarkt; Internationaler Kreditmarkt; Internationales Währungssystem; Kapitalmarkt; Internationaler; Risikomanagement; Spekulationsblase;Währungskrise; Welt
Institutions of the University: Faculties
Faculties > Faculty of Law, Business and Economics
Faculties > Faculty of Law, Business and Economics > Department of Business Administration
Faculties > Faculty of Law, Business and Economics > Department of Business Administration > Chair Business Administration I, Finance and Banking Management
Faculties > Faculty of Law, Business and Economics > Department of Business Administration > Chair Business Administration I, Finance and Banking Management > Chair Business Administration I, Finance and Banking Management - Univ.-Prof. Dr. Klaus Schäfer
Result of work at the UBT: No
DDC Subjects: 300 Social sciences
300 Social sciences > 330 Economics
Date Deposited: 04 Nov 2016 06:38
Last Modified: 04 Nov 2016 06:38
URI: https://eref.uni-bayreuth.de/id/eprint/34501