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