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Risikomanagement im Rahmen des Immobilien-Portfoliomanagements institutioneller Investoren

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Stock, Alexandra (2009) Risikomanagement im Rahmen des Immobilien-Portfoliomanagements institutioneller Investoren. Schriften zur Immobilienökonomie, 54. Immobilien-Manager-Verl., Köln. ISBN 978-3-89984-228-9.

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Date of publication of this fulltext: 25 May 2012 10:34

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Item type:Book
Series of the University of Regensburg:Schriften zur Immobilienökonomie
Date:2009
Additional Information (public):Zugl.: Regensburg, Univ., Diss., 2009
Institutions:Business, Economics and Information Systems > Institut für Immobilienenwirtschaft / IRE|BS > Professur für Immobilienwirtschaft (Prof. Dr. Karl-Werner Schulte)
Business, Economics and Information Systems > Institut für Immobilienenwirtschaft / IRE|BS > Professur für Immobilienentwicklung (Prof. Dr. Stephan Bone-Winkel)
Interdisciplinary Subject Network:Not selected
Dewey Decimal Classification:300 Social sciences > 330 Economics
Status:Published
Refereed:Yes, this version has been refereed
Created at the University of Regensburg:Unknown
Item ID:24521
Owner only: item control page

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