Hibbeln, Martin.

Risk Management in Credit Portfolios Concentration Risk and Basel II / [electronic resource] : by Martin Hibbeln. - Heidelberg : Physica-Verlag HD, 2010. - digital. - Contributions to Economics, 1431-1933 . - Contributions to Economics, .

9783790826074

10.1007/978-3-7908-2607-4 doi


Economics.
Finance.
Banks and banking.
Economics/Management Science.
Finance /Banking.
Financial Economics.
Quantitative Finance.

HG4501-6051 HG1-9999

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