000 | 01628nam a2200361 a 4500 | ||
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001 | 0000168753 | ||
005 | 20171002063456.0 | ||
006 | m u | ||
007 | cr cn||||||||| | ||
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 |