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Paperback The most reliable approach to measure Value at Risk adjusted for market liquidity Book

ISBN: 3640675908

ISBN13: 9783640675906

The most reliable approach to measure Value at Risk adjusted for market liquidity

Master's Thesis from the year 2009 in the subject Business economics - Investment and Finance, grade: 1.0, Technical University of Munich (Department of Financial Management and Capital Markets),... This description may be from another edition of this product.

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