Devisentermingeschäfte als Instrument der Währungspolitik; unter besonderer Berücksichtigung der Devisentermingeschäfte der Deutschen Bundesbank und der Schweizerischen Nationalbank.


Berlin, Duncker & Humblot [1973] . In German.

Location Call Number Status Consortium Loan
American
WRLC Shared Collections Facility
HB41 .V6 no.200-204 no.200-204 Off-site
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Subjects Bank reserves -- Europe.
Currency convertibility.
Deutsche Bundesbank.
Euro-dollar market.
Foreign exchange.
Germany (West). German State Bank.
Schweizerische Nationalbank.
Description 204 p. illus. 24cm.
Notes Originally presented as the author's thesis, Technische Universität, Berlin.
Bibliography: p. [197]-204.
Network Numbers (OCoLC)00735544
(OCoLC)735544
WorldCat Search OCLC WorldCat

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