The credit risk of complex derivatives

Bibliographic Details
Main Author: Banks, Erik (Author)
Format: Book
Language:English
Published: New York : Palgrave Macmillan , c2004
Edition:3rd ed
Series:Finance and capital markets
Subjects:
Online Access:Table of contents only

MARC

LEADER 00000cam a2200000 7i4500
001 0000054719
005 20090104093000.0
008 080117s2004 nyu eng
020 |a 1403916691 (cloth : alk. paper) 
020 |a 9781403916693 
090 0 0 |a HG6024.A3   |b B362 2004 
100 1 |a Banks, Erik ,   |e author 
245 1 4 |a The credit risk of complex derivatives   |c Erik Banks 
250 |a 3rd ed 
260 |a New York :   |b Palgrave Macmillan ,   |c c2004 
300 |a xix, 556 p. :   |b ill. ;   |c 24 cm. 
440 0 |a Finance and capital markets 
504 |a Includes bibliographical references (p. 541-548) and index 
505 0 |a 1. Derivatives, Credit, and Risk Management -- 2. The Credit Risk of Complex Derivatives -- 3. Credit Portfolio Risk Management Issues 
650 0 |a Derivative securities 
650 0 |a Risk management 
856 4 1 |3 Table of contents only   |u http://www.loc.gov/catdir/enhancements/fy0623/2003065405-t.html 
999 |a 1000117093   |b Book   |c OPEN SHELF (30 DAYS)   |e Gong Badak Campus