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Risikomanagement und Diversifikation in der Finanzindustrie — Eine akademische Perspektive

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  • Mark Wahrenburg

    (Goethe-Universität)

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  • Mark Wahrenburg, 2010. "Risikomanagement und Diversifikation in der Finanzindustrie — Eine akademische Perspektive," Schmalenbach Journal of Business Research, Springer, vol. 62(61), pages 1-17, January.
  • Handle: RePEc:spr:sjobre:v:62:y:2010:i:61:d:10.1007_bf03372979
    DOI: 10.1007/BF03372979
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