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| 005 | 20220925205626.0 | ||
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| 020 |
_a9781118117699 _c5109.3199999999997 |
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| 037 |
_b114/2012-13, 20/09/2012, EXCEL BOOK INTERNATIONAL _cGeneral Book |
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| 040 |
_aRTL _cRTL _beng |
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| 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. |
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| 490 | _aFrank J. Fabozzi Series | ||
| 650 | _aCommerce | ||
| 942 |
_hX65:8:(B), Q2 _cGB _2CC |
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| 999 |
_c552660 _d552660 |
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