EconPapers    
Economics at your fingertips  
 

Risikomanagement und Diversifikation in der Finanzindustrie — Eine akademische Perspektive

Mark Wahrenburg ()
Additional contact information
Mark Wahrenburg: Goethe-Universität

Schmalenbach Journal of Business Research, 2010, vol. 62, issue 61, 1-17

Date: 2010
References: View references in EconPapers View complete reference list from CitEc
Citations:

Downloads: (external link)
http://link.springer.com/10.1007/BF03372979 Abstract (text/html)

Related works:
This item may be available elsewhere in EconPapers: Search for items with the same title.

Export reference: BibTeX RIS (EndNote, ProCite, RefMan) HTML/Text

Persistent link: https://EconPapers.repec.org/RePEc:spr:sjobre:v:62:y:2010:i:61:d:10.1007_bf03372979

Ordering information: This journal article can be ordered from
https://www.springer.com/journal/41471

DOI: 10.1007/BF03372979

Access Statistics for this article

More articles in Schmalenbach Journal of Business Research from Springer
Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing ().

 
Page updated 2025-03-20
Handle: RePEc:spr:sjobre:v:62:y:2010:i:61:d:10.1007_bf03372979