![book cover](/SkNewWeb/pictures/get_cover/1478376.jpg)
Risk management implications of a portfolio of Central European banks
Heusinger, Ruprecht von
Year of publication: 2007.
Banki, Metoda Monte Carlo stosowanie finanse, Zarządzanie ryzykiem, Europa, 1901-2000, 1989-2000, 2001-
Risk management implications of a portfolio of Central European banks
Heusinger, Ruprecht von
Year of publication: 2007.
Banki, Metoda Monte Carlo stosowanie finanse, Zarządzanie ryzykiem, Europa, 1901-2000, 1989-2000, 2001-