Risk-Management mit Finanzderivaten (Lehr- Und . Beike, Barckow<|

Risk-Management mit Finanzderivaten by Rolf Beike, Andreas Ba... - 9783486258486

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Risk-Management mit Finanzderivaten (Lehr- Und . Beike, Barckow<|

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Risk-Management mit Finanzderivaten by Rolf Beike, Andreas Ba... - 9783486258486

Overall Rating: 1.2 / 5 (average from multiple review sources, as of 22 Jul 2026)
Based on a total of 23,298 customer reviews from independent review platforms.

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Artist: Not Specified / PublishedOn: 2014-10-15 / Subject Area: Business & Economics / Publication Name: Risk-Management Mit Finanzderivaten : Steuerung Von Zins- und Währungsrisiken. Studienbuch Mit Aufgaben / ProductImageZoomGUID: aWUAAOSw4CFYwntD / eBay Product ID (ePID): 176522652 / Item Length: 9.4 in / Format: Hardcover / Language: English / ISBN: 9783486258486 / ISBN-13: 9783486258486 / Item Height: 0.6 in / ISBN-10: 3486258486 / Item Width: 6.7 in / Title: Risk-Management mit Finanzderivaten (Lehr- Und Handbucher Zu Gel / Publisher: De Gruyter / Intended Audience: College Audience / ProductTitle: Lehr- Und Handbücher Zu Geld, Börse, Bank Und Versicherung Ser.: Risk-Management Mit Finanzderivaten : Steuerung Von Zins- und Währungsrisiken. Studienbuch Mit Aufgaben by Andreas Barckow and Rolf Beike (2001, Hardcover) / MaturityScore: 8.0 / Subject: Management / Edition Number: 3 / Series: Lehr- Und Handbücher Zu Geld, Börse, Bank Und Versicherung Ser. / Publication Year: 2001 / Type: Textbook / EAN: 9783486258486 / Author: Rolf Beike / Item Weight: 23.5 oz. / Number of Pages: 220 Pages
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