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| Publications 2002 |
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Scheuenstuhl, G. (2002), Szenario-basierte Risikoanalysen, Asset Management in Kapitalanlage- und Versicherungsgesellschaften, Gabler, pp. 337 – 393 |
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Zagst, R. (2002): Interest Rate Management
Sringer Finance, Springer, Heidelberg |
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Zagst, R. (2002), Using Scenario Analysis for Risk Management, Journal of the German Statistical Society (AStA) 86, pp. 97-117 |
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