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Credit Derivatives (Chapters: 13) ; Applications for Risk Management, Investment and Portfolio Optimisation

Contributor(s): Language: English Analytics: Show analyticsPublication details: London : Risk Books 1998Edition: 1. EdDescription: xi, 193 ppISBN:
  • 1-899332-61-8
Contents:
from the Table of Contents: Default Protection and Credit Portfolio Management; Investment Markets, Credit-Linked Securities and Credit Derivatives; Credit Modelling, Transition Analysis and Credit Derivatives; Regulatory Trends and Issues in Taxation;
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Item type Current library Shelving location Call number Status Date due Barcode
Loanable Institute for Advanced Studies (IHS) Book 16556-B Available IHS10144820X

from the Table of Contents: Default Protection and Credit Portfolio Management; Investment Markets, Credit-Linked Securities and Credit Derivatives; Credit Modelling, Transition Analysis and Credit Derivatives; Regulatory Trends and Issues in Taxation;

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