Portfolio-Bewertung Im Risikocontrolling Und Im Jahresabschluss: Die Abbildung Derivativer Zinsinstrumente Des Handelsbestandes

Portfolio-Bewertung Im Risikocontrolling Und Im Jahresabschluss: Die Abbildung Derivativer Zinsinstrumente Des Handelsbestandes
Format
Paperback
Publisher
Deutscher Universitatsverlag
Country
Germany
Published
16 October 1995
Pages
288
ISBN
9783824462148

Portfolio-Bewertung Im Risikocontrolling Und Im Jahresabschluss: Die Abbildung Derivativer Zinsinstrumente Des Handelsbestandes

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Robert Walter entwickelt ein System von Grundsatzen, das zu einer betriebswirtschaftlich richtigen Bewertung der Risiken beitragt und mit den deutschen Rechnungslegungsnormen vereinbar ist.

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