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A New Methodology to Derive a Bank's Maturity Structure Using Accounting-Based Time Series Information., , , и . OR, стр. 299-304. (2006)Schätzrisiken in der Portfoliotheorie. Reihe: Finanzierung, Kapitalmarkt und Banken Eul, Lohmar u. a., 1. Aufl. издание, (2004)