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008 130507s2013 njua sb 000 0 eng d
020 _z9789814417495
020 _z9789814417501 (e-book)
035 _a(CaPaEBR)ebr10691859
035 _a(OCoLC)840490311
040 _aCaPaEBR
_cCaPaEBR
050 1 4 _aHD61
_b.M36 2013eb
245 0 0 _aManaging and measuring risk
_h[electronic resource] :
_bemerging global standards and regulation after the financial crisis /
_ceditors, Oliviero Roggi, Edward Altman.
260 _a[Hackensack] N.J. :
_bWorld Scientific,
_cc2013.
300 _axiv, 499 p. :
_bill.
490 1 _aWorld Scientific series in finance,
_x2010-1082 ;
_vv. 5
504 _aIncludes bibliographical references.
505 0 _apt. A. The evolution of risk management -- pt. B. Sovereign and systemic risk -- pt. C. Liquidity -- pt. D. Risk management principles and strategies -- pt. E. Credit risk -- pt. F. Equity risk and market crashes.
533 _aElectronic reproduction.
_bPalo Alto, Calif. :
_cebrary,
_d2013.
_nAvailable via World Wide Web.
_nAccess may be limited to ebrary affiliated libraries.
650 0 _aRisk management.
650 0 _aRisk assessment.
655 7 _aElectronic books.
_2local
700 1 _aRoggi, Oliviero.
700 1 _aAltman, Edward.
710 2 _aebrary, Inc.
830 0 _aWorld Scientific series in finance ;
_vv. 5.
856 4 0 _uhttp://site.ebrary.com/lib/daystar/Doc?id=10691859
_zAn electronic book accessible through the World Wide Web; click to view
908 _a170314
942 0 0 _cEB
999 _c157896
_d157896