- Title:
Market Correlations in the Euro Changeover Period With a View to Portfolio Management.
- Document type:
- Buchbeitrag
- Author(s):
- Müller, G.
- Artist:
- Böcker, K. (Ed.)
- Pages contribution:
- 107-125
- Book title:
- Rethinking Risk Measurement and Reporting: Uncertainty, Bayesian Analysis and Expert Judgement, Vol. I.
- Publisher:
- Risk Books
- Publisher address:
- London
- Year:
- 2010
- Reviewed:
- ja
- Language:
- en
- WWW:
- http://www.reuters.com/article/2011/01/14/idUS178795+14-Jan-2011+BW20110114
- Semester:
- SS 10
- Format:
- Text
- BibTeX