Description
Product details
Authors | Fran Hagenstein, Frank Hagenstein, Alexande Mertz, Alexander Mertz, Jan Seifert |
Publisher | Schäffer-Poeschel |
Languages | German |
Product format | Hardback |
Released | 01.01.2006 |
EAN | 9783791024790 |
ISBN | 978-3-7910-2479-0 |
No. of pages | 347 |
Weight | 764 g |
Illustrations | m. zahlr. graph. Darst. |
Subjects |
Social sciences, law, business
> Business
> Management
Investment-Geschäft, Finanzwirtschaft, Finanzierung, Risikomanagement, Aktienmarkt, Kennzahlen, Investment, anleihen, Volatilität, Fonds, aktienkurse, Risikofaktoren, unternehmensanleihen, Aktienkurs, Portfolio, Investments, Portfoliomanagement, derivate, Corporate Bonds, Funds, Bonds, RM, SchäfferPoeschel, Portfoliooptimierung, Finanzkennzahlen, Mezzanine, Kreditderivate, Swaps, Kreditrisiken, Assetklassen, Frank Hagenstein, Jan Seifert, Corporate-Bond-Portfolio, Alexander Mertz, Kreditprodukte, Ausfallrisiken, Corporate-Bond-Investor |
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