Credit derivatives techniques to manage credit risk for financial professionals

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Bibliographic Details
Main Author: Banks, Erik
Other Authors: Siegel, Paul, Glantz, Morton
Format: Unknown
Published: New York McGraw-Hill 2007
Subjects:
Online Access:Click Here to View Status and Holdings.
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001 wils-362390
020 # # |a 0071453148 (hardcover : alk. paper) 
040 # # |a DLC  |d ITMB 
090 0 0 |a HG6024.A3  |b B3615 2006 
100 1 # |a Banks, Erik 
245 1 1 |a Credit derivatives  |b techniques to manage credit risk for financial professionals  |c by Erik Banks, Morton Glantz, and Paul Siegel 
260 # # |a New York  |b McGraw-Hill  |c 2007 
300 # # |a vi, 357 p.  |b ill.  |c 24 cm 
504 # # |a Includes bibliographical references (p. 345-347) and index 
650 # 0 |a Risk management 
650 # 0 |a Credit derivatives 
700 1 # |a Siegel, Paul 
700 # # |a Glantz, Morton 
856 4 0 |z Click Here to View Status and Holdings.  |u https://opac.uitm.edu.my/opac/detailsPage/detailsHome.jsp?tid=362390 
964 # # |c BOK  |d 01 
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