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Quantitative credit portfolio management Dor Arik Ben Practical innovation for measuring and controlling liquidity, spread, and issuer concentration risk.

By: Material type: TextTextLanguage: English Series: Frank J. Fabozzi SeriesPublication details: Hoboken John Wiley. 2012Description: xxviii, 388p Bibliography: P 367-69 cmISBN:
  • 9781118117699
Subject(s): DDC classification:
  • X65:8:(B), Q2
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Item type Current library Home library Call number Status Barcode
General Books General Books Ratan Tata Library Ratan Tata Library X65:8:(B) Q2 (Browse shelf(Opens below)) Available RT1477040

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