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008 100301s2009 it | s |||| 0|ita d
020 _a9788847011472
_9978-88-470-1147-2
024 7 _a10.1007/978-88-470-1147-2
_2doi
035 _a0000005053
035 _a(DE-He213)978-88-470-1147-2
050 4 _aHG1-9999
072 7 _aKCBM
_2bicssc
072 7 _aKCLF
_2bicssc
072 7 _aBUS027000
_2bisacsh
082 0 4 _a332
_223
100 1 _aMenoncin, Francesco.
245 1 0 _aMisurare e gestire il rischio finanziario
_h[electronic resource] /
_cby Francesco Menoncin.
260 _aMilano :
_bSpringer Milan,
_c2009.
300 _bdigital.
650 0 _aEconomics.
650 0 _aMathematics.
650 0 _aFinance.
650 0 _aTaxation.
650 0 _aBanks and banking.
650 1 4 _aEconomics/Management Science.
650 2 4 _aFinancial Economics.
650 2 4 _aEconomics/Management Science, general.
650 2 4 _aQuantitative Finance.
650 2 4 _aFinance /Banking.
650 2 4 _aApplications of Mathematics.
650 2 4 _aBusiness Taxation.
710 2 _aSpringerLink (Online service)
773 0 _tSpringer eBooks
776 0 8 _iPrinted edition:
_z9788847011465
856 4 0 _uhttp://dx.doi.org/10.1007/978-88-470-1147-2
908 _a121203
912 _aZDB-2-SBE
942 0 0 _cEB
999 _c47969
_d47969