Zimmermann, Heinz and Bubb, Andrea. (2002) Das Risiko der Vorsorge. Finanzmarkt und Portfolio Management, Vol. 16. pp. 155-178.
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Official URL: http://edoc.unibas.ch/dok/A5250847
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Faculties and Departments: | 06 Faculty of Business and Economics > Departement Wirtschaftswissenschaften > Professuren Wirtschaftswissenschaften > Finanzmarkttheorie (Zimmermann) |
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UniBasel Contributors: | Zimmermann, Heinz |
Item Type: | Article |
Article Subtype: | Research Article |
Publisher: | Springer |
ISSN: | 1555-4961 |
Note: | Publication type according to Uni Basel Research Database: Journal article |
Last Modified: | 22 Mar 2012 14:31 |
Deposited On: | 22 Mar 2012 14:18 |
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