000 00942nam a2200253Ia 4500
003 OSt
005 20220925205626.0
006 a|||||r|||| 00| 0
007 ta
008 220923b |||||||| |||| 00| 0 eng d
020 _a9781118117699
_c5109.3199999999997
037 _b114/2012-13, 20/09/2012, EXCEL BOOK INTERNATIONAL
_cGeneral Book
040 _aRTL
_cRTL
_beng
041 _2eng
_aeng
082 _aX65:8:(B), Q2
100 _aDor Arik Ben
_9270576
245 0 _aQuantitative credit portfolio management
_b Practical innovation for measuring and controlling liquidity, spread, and issuer concentration risk.
260 _aHoboken
_bJohn Wiley.
_c2012
300 _axxviii, 388p Bibliography: P 367-69
_ccm.
490 _aFrank J. Fabozzi Series
650 _aCommerce
942 _hX65:8:(B), Q2
_cGB
_2CC
999 _c552660
_d552660