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ELB179152 |
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FINmELB |
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20200520144314.0 |
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m o d | |
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110919s2012 nju s 001 0 eng d |
010 |
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|z 2011039273
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020 |
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|z 9781118117699
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020 |
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|z 9781118167366
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035 |
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|a (OCoLC)1292942932
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040 |
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|a FINmELB
|c FINmELB
|d FINmELB
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050 |
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4 |
|a HG6024.A3
|b B46 2012
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0 |
4 |
|a 332.63/2
|2 23
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100 |
1 |
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|a Ben Dor, Arik.
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245 |
1 |
0 |
|a Quantitative credit portfolio management
|h [electronic resource] :
|b practical innovations for measuring and controlling liquidity, spread, and issuer concentration risk /
|c Arik Ben Dor ... [et al.].
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250 |
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|a 1st ed.
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260 |
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|a Hoboken, NJ :
|b Wiley,
|c c2012.
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300 |
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|a xxviii, 388 p.
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490 |
1 |
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|a Frank J. Fabozzi series ;
|v 202
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500 |
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|a Includes index.
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588 |
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|a Description based on metadata supplied by the publisher and other sources.
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590 |
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|a Electronic reproduction. Santa Fe, Arg.: elibro, 2022. Available via World Wide Web. Access may be limited to eLibro affiliated libraries.
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650 |
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0 |
|a Credit derivatives.
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650 |
|
0 |
|a Portfolio management.
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650 |
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0 |
|a Investment analysis.
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655 |
|
4 |
|a Electronic books.
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797 |
2 |
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|a elibro, Corp.
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830 |
|
0 |
|a Frank J. Fabozzi series ;
|v 202.
|
856 |
4 |
0 |
|u https://elibro.uam.elogim.com/ereader/bidiuam/179152
|z Texto completo
|
950 |
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|a eLibro English
|