
Adequate Decision Rules for Portfolio Choice Problems
1 592,-

Investor Relations
2 186,-

Exchange Traded Funds as an Investment Option
2 186,-

Quantification of Operational Risk under Basel II
1 592,-

Strategy, Value and Risk - The Real Options Approach
2 186,-

Energy Hedging in Asia: Market Structure and Trading Opportunities
1 592,-

International Securitisation
2 312,-

The Credit Risk of Complex Derivatives
1 592,-

Technology Management in Financial Services
1 124,-

Global Custody and Clearing Services
2 186,-

Adequate Decision Rules for Portfolio Choice Problems
1 592,-

Investor Relations
2 186,-

Exchange Traded Funds as an Investment Option
2 186,-

Quantification of Operational Risk under Basel II
1 592,-

Strategy, Value and Risk - The Real Options Approach
2 186,-

Energy Hedging in Asia: Market Structure and Trading Opportunities
1 592,-

International Securitisation
2 312,-

The Credit Risk of Complex Derivatives
1 592,-

Technology Management in Financial Services
1 124,-

Global Custody and Clearing Services
2 186,-