1 |
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Advanced Robust and Nonparametric Methods in Efficiency Analysis: Methodology and Applications [E-Book]
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|
2007 |
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.
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2 |
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Default Risk in Bond and Credit Derivatives Markets [E-Book]
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Benkert, Christoph
|
2004 |
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.
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3 |
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Dynamic copula methods in finance [Buch]
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|
2012 |
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Regalstandort: QH 233 C523.
Lit.abteilungen: Freihand.
Verfügbar in: ZB Scheffelstraße.
Anzahl Exemplare: 1.
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4 |
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Einführung in die angewandte Wirtschaftsmathematik: Das praxisnahe lehrbuch — bewährt durch seine brillante Darstellung [E-Book]
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2008 |
|
.
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5 |
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Einführung in die Statistik der Finanzmärkte [E-Book]
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Franke, Jürgen
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2004 |
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.
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6 |
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Exponential functionals of Brownian motion and related processes [Buch]
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Yor, Marc
|
2001 |
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Regalstandort: SK 820 Y61 .
Lit.abteilungen: Freihand.
Verfügbar in: Hauptbibliothek.
Anzahl Exemplare: 1.
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7 |
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Financial Risk Management with Bayesian Estimation of GARCH Models: Theory and Applications [E-Book]
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|
2008 |
|
.
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8 |
|
Finanz- und Versicherungsmathematik [Buch]
|
Grundmann, Wolfgang
|
1996 |
|
Regalstandort: QP 890 G889.
Lit.abteilungen: Freihand.
Verfügbar in: Hauptbibliothek, ZB Scheffelstraße.
Anzahl Exemplare: 5.
|
9 |
|
Finanzmathematik mit MATLAB [Buch]
|
Grundmann, Wolfgang
|
2004 |
|
Regalstandort: ST 601 M35 G889.
Lit.abteilungen: Freihand.
Verfügbar in: Hauptbibliothek, ZB Scheffelstraße.
Anzahl Exemplare: 7.
|
10 |
|
Finanzmathematik mit MATLAB [E-Book]
|
Grundmann, Wolfgang
|
2004 |
|
.
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11 |
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Irreversible Decisions under Uncertainty: Optimal Stopping Made Easy [E-Book]
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|
2007 |
|
.
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12 |
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Kreditrisikomessung: Statistische Grundlagen, Methoden und Modellierung [E-Book]
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|
2006 |
|
.
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13 |
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Mathematik in der modernen Finanzwelt: Derivate, Portfoliomodelle und Ratingverfahren [Buch]
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Reitz, Stefan
|
2011 |
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Regalstandort: QP 890 R379.
Lit.abteilungen: Freihand.
Verfügbar in: Hauptbibliothek.
Anzahl Exemplare: 1.
|
14 |
|
Modelling Irregularly Spaced Financial Data: Theory and Practice of Dynamic Duration Models [E-Book]
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Hautsch, Nikolaus
|
2004 |
|
.
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15 |
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Optimal Risk-Return Trade-Offs of Commercial Banks: and the Suitability of Profitability Measures for Loan Portfolios [E-Book]
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|
2006 |
|
.
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16 |
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Optimization in Economics and Finance: Some Advances in Non-Linear, Dynamic, Multi-Criteria and Stochastic Models [E-Book]
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2005 |
|
.
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17 |
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Pension Systems, Demographic Change, and the Stock Market [E-Book]
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2008 |
|
.
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18 |
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Portfolio Management with Heuristic Optimization [E-Book]
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2005 |
|
.
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19 |
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Portfolios of Real Options [E-Book]
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|
2008 |
|
.
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20 |
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Pricing in (In)Complete Markets: Structural Analysis and Applications [E-Book]
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Esser, Angelika
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2004 |
|
.
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