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1

Zenios, Stavros Andrea. Handbook of asset and liability management. North Holland, 2008.

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2

Marohn, Christina A. Stochastische mehrstufige lineare Programmierung im Asset- & -Liability-Management. P. Haupt, 1998.

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3

Stein, Jeremy C. An adverse selection model of bank asset and liability management with implications for the transmission of monetary policy. NBER, 1995.

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4

Stein, Jeremy C. An adverse selection model of bank asset and liability management with implications for the transmission of monetary policy. National Bureau of Economic Research, 1995.

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5

Adam, Alexandre. Handbook of asset and liability management: From models to optimal return strategies. John Wiley & Sons, 2007.

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6

Eckhold, Kelly R. Bank asset valuation and risk in Australasia: The market's evaluation. Reserve Bank of New Zealand, 1994.

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7

Gennotte, Gerard. Capital controls and bank regulation /by Gerard Gennotte and David Pyle. Banca d'Italia, 1987.

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8

Booth, G. Geoffrey. A multiperiod goal programming model for managing interest-rate risk in banks and thrifts. Federal Home Loan Bank Board, Office of Policy and Economic Research, 1988.

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9

Zheng, Harry. The duration derby: A comparison of duration based strategies in asset liability management. University of Southampton, School of Management, 2001.

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10

Schürle, Michael. Zinsmodelle in der stochastischen Optimierung: Mit Anwendungen im Asset- & Liability-Management. P. Haupt, 1998.

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11

Agasandi︠a︡n, G. A. O korrektnosti semeĭstv funkt︠s︡iĭ riskovykh predpochteniĭ investora dli︠a︡ kontinualʹnogo kriterii︠a︡ VaR. Vychislitelʹnyĭ t︠s︡entr im. A.A. Dorodnit︠s︡yna RAN, 2009.

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12

Luigi, Fabrizi Pier, and Associazione tesorieri istituzioni creditizie, eds. Nuovi modelli di gestione dei flussi finanziari nelle banche. A. Giuffrè, 1995.

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13

Nyholm, Ken. Strategic Asset Allocation in Fixed Income Markets. John Wiley & Sons, Ltd., 2008.

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14

Gorton, Gary. Bank capital regulation in general equilibrium. National Bureau of Economic Research, 1995.

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15

Nyholm, Ken, Arjan B. Berkelaar, and Joachim Coche. Interest rate models, asset allocation and quantitative techniques for central banks and sovereign wealth funds. Palgrave Macmillan, 2010.

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16

Berkelaar, Arjan B. Interest rate models, asset allocation and quantitative techniques for central banks and sovereign wealth funds. Palgrave Macmillan, 2010.

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17

Leibowitz, Martin L. Investing: The collected works of Martin L. Leibowitz / Frank J. Fabozzi, editor ; foreword by William F. Sharpe. Probus Publishing Co., 1992.

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18

Peat, Marwick, Mitchell & Co. and American Bankers Association, eds. A Guide for selecting ALM microcomputer models: A comprehensive survey. American Bankers Association, 1987.

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19

Deventer, Donald R. van. Financial risk analytics: A term structure model approach for banking, insurance and investment management. Irwin Professional Publ., 1997.

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20

Itō, Takatoshi. Impacts of the Basle capital standard on Japanese banks' behavior. National Bureau of Economic Research, 1998.

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21

Stevenson, Ricahrd A. Asset-liability management. 2nd ed. Kendall/Hunt Pub., 1994.

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22

Stevenson, Richard A. Asset-liability management. 2nd ed. Kendall/Hunt Pub., 1994.

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23

Binsbergen, Jules H. van. Optimal asset allocation in asset liability management. National Bureau of Economic Research, 2007.

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24

Binsbergen, Jules H. van. Optimal asset allocation in asset liability management. National Bureau of Economic Research, 2007.

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25

Mitra, Gautam, and Katharina Schwaiger, eds. Asset and Liability Management Handbook. Palgrave Macmillan UK, 2011. http://dx.doi.org/10.1057/9780230307230.

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26

Jost, Christiane. Asset-Liability Management bei Versicherungen. Gabler Verlag, 1995. http://dx.doi.org/10.1007/978-3-663-05963-9.

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27

The Hong Kong Institute of Bankers. Bank Asset and Liability Management. John Wiley & Sons Singapore Pte. Ltd., 2018. http://dx.doi.org/10.1002/9781119444497.

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28

Ma, Guonan. China's asset management corporations. Bank for International Settlements, Monetary and Economic Dept., 2002.

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29

Spillmann, Martin, Karsten Döhnert, and Roger Rissi. Asset Liability Management (ALM) in Banken. Springer Fachmedien Wiesbaden, 2019. http://dx.doi.org/10.1007/978-3-658-25202-1.

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30

Adam, Alexandre, ed. Handbook of Asset and Liability Management. John Wiley & Sons, Inc., 2012. http://dx.doi.org/10.1002/9781119209133.

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31

Richard, Harrington. Asset and liability management by banks. Organisation for Economic Co-Operation and Development, 1987.

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32

Harrington, Richard. Asset and liability management by banks. O.E.C.D., 1987.

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33

Education, Institute of Financial, ed. Asset/liability management for savings institutions. Institute of Financial Education, 1989.

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34

Heinz, Zimmermann. Asset- und Liability-Management: Erfolgsstrategie für Banken. Verlag Neue Zürcher Zeitung, 1995.

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35

Gardner, Mona J. Managing financial institutions: An asset/liability approach. 3rd ed. Dryden Press, 1994.

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36

Gardner, Mona J. Managing financial institutions: An asset/liability approach. Dryden Press, 1988.

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37

Gardner, Mona J. Managing financial institutions: An asset/liability approach. 2nd ed. Dryden Press, 1991.

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38

Schwaiger, Katharina, and Gautam Mitra. Asset and Liability Management Handbook. Palgrave Macmillan, 2011.

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39

Asset and liability management handbook. Palgrave Macmillan, 2011.

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40

(Editor), Stavros A. Zenios, and William T. Ziemba (Editor), eds. Handbook of Asset and Liability Management, Volume 2: Applications and Case Studies (Handbook of Asset and Liability Management) (Handbook of Asset and Liability Management). North Holland, 2007.

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41

Handbook of asset and liability management. Elsevier, 2006.

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42

Strategic bank asset liability management: A multi-objective decision model and decision support system for strategic bank asset liability management. P. Lang, 1989.

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43

Franks, Julian, Colin Mayer, and Luis Correia da Silva. Asset Management and Investor Protection: An International Analysis (Economics & Finance). Oxford University Press, USA, 2003.

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44

Adam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Limited, John, 2017.

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45

Adam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Incorporated, John, 2017.

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46

Adam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Incorporated, John, 2017.

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47

Adam, Alexandre. Handbook of Asset and Liability Management: From Models to Optimal Return Strategies. Wiley & Sons, Incorporated, John, 2009.

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48

Adam, Alexandre. Advanced Interest Rate Risk Models: Asset and Liability Management. Wiley & Sons, Limited, John, 2014.

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49

Asset-Liability-Management für private Investoren: Eine theoretische und empirische Untersuchung. P. Haupt, 1997.

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50

Zenios, Stavros A., and William T. Ziemba. Handbook of Asset and Liability Management: Applications and Case Studies. Elsevier Science & Technology Books, 2007.

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