Publication details
Korrelationen in Extremsituationen - Eine empirische Analyse des deutschen Finanzmarktes mit Fokus auf irrationales Marktverhalten
Title in English | Correlations in extreme situations - an empirical analysis of the German financial market with a focus on irrational market behavior |
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Authors | |
Year of publication | 2011 |
Type | Monograph |
MU Faculty or unit | |
Citation | |
Description | The work brings new findings from the mutual connection of classical portfolio theory and the new discipline behavioral Finance.Special focus is on the job market irrationality. |