8th Symposium on Finance, Banking, and Insurance
Universität Karlsruhe (TH), Germany, December 15 - 17, 1999


 

Friday - Section 22 - Mathematical Market Models

 

  A A Financial Market Model  
P Paper_Platen_download
  A Optimal Dynamic Portfolio Selection and Dividend Distribution Policy for a Corporation with Controllable Risk  
P -




Comments: mfbi.ka@wiwi.uni-karlsruhe.de