We can't find the internet
Attempting to reconnect
Something went wrong!
Hang in there while we get back on track
£54.53
Gabler Verlag Risikoverhalten von Aktienfondsmanagern: Eine spieltheoretische und empirische Analyse (Finanz- und bankwirtschaftliche Forschung)
Price data checked 7 days ago
Price History & Forecast
Last 84 days • 84 data points (No recent data available)
Price Distribution
Price distribution over 84 days • 1 price levels
Price Analysis
Most common price: £55 (84 days, 100.0%)
Price range: £55 - £55
Price levels: 1 different prices over 84 days
Description
Product Specifications
- Brand
- Gabler Verlag
- Format
- paperback
- ASIN
- 3834921386
- Domain
- Amazon UK
- Release Date
- 11 February 2010
- Listed Since
- 09 November 2009
Barcode
No barcode data available
Similar Products You Might Like
Investorspezifische Performancemessung für die Auswahl von Investmentfonds (Bank- und Finanzwirtschaft)
Deutscher Universitätsverlag
Offenlegungspolitik von Investmentfonds: Fondsrisiko, Portfoliooptimalität und Performance
Deutscher Universitätsverlag
Hedge Fonds, Banken und Finanzkrisen: Die Bedeutung außerbilanzieller Leverage-Effekte durch Finanzderivate für das Risikomanagement von ... systemische Risiko des globalen Finanzsystems
Deutscher Universitätsverlag
Optimizing Distribution Systems in Asset Management: Institutional Arrangements as Key Factor of Success
Gabler Verlag
Fuzzy Portfolio Optimization: Advances in Hybrid Multi-criteria Methodologies: 316 (Studies in Fuzziness and Soft Computing, 316)
Springer
The Rise and Fall of Wessex Asset Management and the 2008 Crash: Entrepreneurial Financial Markets (Towards the Twenty-First Century Organization)
Cambridge Scholars Publishing
Working with the Emotional Investor: Financial Psychology for Wealth Managers
Praeger
Portfolio Management Practices in Sovereign Wealth Fund: International Diversification at the Norwegian Government Pension Fund and the Implications for Russia
LAP Lambert Academic Publishing
Proceedings of the First International Forum on Financial Mathematics and Financial Technology
Springer
Proceedings of the First International Forum on Financial Mathematics and Financial Technology
Springer
Fundamentals of Investments w/student CD + Stock-Trak + Powerweb+Crabb's Finance and Investments Using The Wall Street Journal
McGraw-Hill Irwin
Investment Management and Mismanagement: History, Findings, and Analysis: 17 (Innovations in Financial Markets and Institutions, 17)
Springer
Applications in Finance, Investments, and Banking: 9 (Advances in Computational Economics, 9)
Springer
Evolutionary Finance
MACMILLAN
Risk and Regulation in Global Securities Markets
Wiley
Business: A Changing World
McGraw-Hill Education
Finanzwirtschaft des Unternehmens und Kapitalmarkt (Springer-Lehrbuch)
Springer
The New Wealth Management: The Financial Advisor's Guide to Managing and Investing Client Assets: 28 (CFA Institute Investment Series)
Wiley
Information Mirages an experimentellen Wertpapiermärkten
Deutscher Universitätsverlag
Econophysics and Capital Asset Pricing: Splitting the Atom of Systematic Risk (Quantitative Perspectives on Behavioral Economics and Finance)
Springer
Advances in Financial Planning and Forecasting: Vol 10
Jai Press Inc.
Wiley's Level II CFA Program 11th Hour Final Review Study Guide 2023
Wiley
Numerical Methods Using Java: For Data Science, Analysis, and Engineering
Apress
Regulating Primary Markets in the Capital Markets Union: Between Uniformity and Differentiation (Hart Studies in Commercial and Financial Law)
Hart Publishing