Risikomanagement Von Banken: Stresstest-methoden Vor Und Nach Der Finanzkrise - Walter Hatak - Books - Diplomica Verlag GmbH - 9783842892316 - February 13, 2014
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Risikomanagement Von Banken: Stresstest-methoden Vor Und Nach Der Finanzkrise German edition

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Media Books     Paperback Book   (Book with soft cover and glued back)
Released February 13, 2014
ISBN13 9783842892316
Publishers Diplomica Verlag GmbH
Pages 96
Dimensions 146 × 5 × 207 mm   ·   122 g
Language German  

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