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Continuous-time finance.
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ISBN: 0631185089 9780631185086 Year: 1992 Publisher: Cambridge & Oxford : Blackwell,

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Finances --- Gestion de portefeuille --- Options (Finances) --- Finances publiques --- Investissements --- Modèles mathématiques --- Modeles mathematiques. --- Modeles mathematiques --- 336.767 --- 336.767 Investering. Belegging. Portfolio. Portfoliotheorie. --(toepassing voor kapitaalkosten in de onderneming zie {658.15}) --- Investering. Belegging. Portfolio. Portfoliotheorie. --(toepassing voor kapitaalkosten in de onderneming zie {658.15}) --- 336.7 --- AA / International- internationaal --- 330.2 --- 330.3 --- Finance --- -Investments --- -Portfolio management --- -Options (Finance) --- -Finance, Public --- -332.015195 --- 336.7 Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen --- Geldwezen. Kredietwezen. Bankwezen. Financien. Monetaire econonomie. Beurswezen --- Cameralistics --- Public finance --- Currency question --- Investment management --- Investment analysis --- Investments --- Securities --- Investing --- Portfolio --- Disinvestment --- Loans --- Saving and investment --- Speculation --- Funding --- Funds --- Economics --- Economische analyse en research. Theorie van de informatie. --- Methode in staathuishoudkunde. Statische, dynamische economie. Modellen. Experimental economics. --- Mathematical models --- Corporate finance --- Finance, Public --- Options (Finance) --- Portfolio management --- Modèles mathématiques --- Public finances --- Economische analyse en research. Theorie van de informatie --- Methode in staathuishoudkunde. Statische, dynamische economie. Modellen. Experimental economics --- Finances - Modèles mathématiques --- Gestion de portefeuille - Modeles mathematiques --- Options (Finances) - Modeles mathematiques --- Finances publiques - Modeles mathematiques --- Investissements - Modeles mathematiques --- Finance - Mathematical models --- Investments - Mathematical models --- Portfolio management - Mathematical models --- Options (Finance) - Mathematical models --- Finance, Public - Mathematical models --- Gestion de portefeuille - Modeles mathematiques. --- Options (Finances) - Modeles mathematiques. --- -Mathematical models


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Worth the risk : innovation and the future of finance
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ISBN: 9781422156995 Year: 2022 Publisher: Boston (Mass.) : Harvard Business ;,

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The Design of Financial Systems: Towards a Synthesis of Function and Structure
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Year: 2004 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Financial Innovation and the Management and Regulation of Financial Institutions
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Year: 1995 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Book
Optimal Investment Strategies for University Endowment Funds
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Year: 1991 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Pension Plan Integration as Insurance Against Social Security Risk
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Year: 1984 Publisher: Cambridge, Mass. National Bureau of Economic Research

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On Consumption-Indexed Public Pension Plans
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Year: 1982 Publisher: Cambridge, Mass. National Bureau of Economic Research

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On the Role of Social Security as a Means for Efficient Risk-Bearing in an Economy Where Human Capital Is Not Tradeable
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Year: 1981 Publisher: Cambridge, Mass. National Bureau of Economic Research

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On Estimating the Expected Return on the Market: An Exploratory Investigation
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Year: 1981 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Customers and Investors : A Framework for Understanding Financial Institutions
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Year: 2015 Publisher: National Bureau of Economic Research

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