Record ID | harvard_bibliographic_metadata/ab.bib.11.20150123.full.mrc:549087883:1167 |
Source | harvard_bibliographic_metadata |
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LEADER: 01167cam a2200337 a 4500
001 011593893-1
005 20081106103531.0
008 071119s2008 njua b 001 0 eng
010 $a 2007047647
015 $aGBA817701$2bnb
016 7 $a014519392$2Uk
020 $a9780470118726 (cloth)
020 $a0470118725 (cloth)
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040 $aDLC$cDLC$dYDXCP$dBAKER$dBTCTA$dUKM$dC#P$dBWX$dDLC
050 00 $aHG3751$b.C32 2008
082 00 $a332.7$222
245 00 $aManaging credit risk :$bthe great challenge for the global financial markets /$cJohn B. Caouette ... [et al.].
250 $a2nd ed.
260 $aHoboken, N.J. :$bWiley,$cc2008.
300 $axxvi, 627 p. :$bill. ;$c24 cm.
440 0 $aWiley finance series
500 $aRev. ed. of: Managing credit risk / John B. Caouette, Edward I. Altman, Paul Narayanan. c1998.
504 $aIncludes bibliographical references and index.
650 0 $aCredit$xManagement.
650 0 $aRisk management.
650 0 $aDerivative securities.
700 1 $aCaouette, John B.,$d1944-
700 1 $aCaouette, John B.,$d1944-$tManaging credit risk.
988 $a20081023
906 $0DLC