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11.
EU Labor Markets After Post-Enlargement Migration
Heidelberg : Springer, 2009. 344 p.
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12.
The Euro, inflation and consumers' perceptions
New York : Springer, 2008. 243 p.
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13.
Heer, Burkhard Dynamic general equilibrium modeling
Berlin : Springer, 2005. 540 p.
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14.
Nelsen, Roger B. An Introduction to Copulas
Portland : Springer, 2006. XIV, 269 p.
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15.
The Basel II risk parameters
Berlin : Springer, 2006. 376 p.
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16.
Gundlach, Matthias CreditRisk+ in the banking industry
Berlin : Springer, 2004. XII, 369 p.
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17.
Musiela, Marek Martingale methods in financial modelling
Heidelberg : Springer, 2007. 681 p.
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18.
Meucci, Attilio Risk and asset allocation
Berlin : Springer, 2005. xxvi, 532 p.
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19.
Glasserman, Paul Monte Carlo methods in financial engineering
New York : Springer, 2004. xiii, 596 p.
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20.
Convergence or divergence in Europe?
New York : Springer, 2006. 384 p.
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