An edition of Financial risk analytics (1996)

Financial risk analytics

a term structure model approach for banking, insurance and investment management

  • 0 Ratings
  • 0 Want to read
  • 0 Currently reading
  • 0 Have read
Not in Library

My Reading Lists:

Create a new list

Check-In

×Close
Add an optional check-in date. Check-in dates are used to track yearly reading goals.
Today

  • 0 Ratings
  • 0 Want to read
  • 0 Currently reading
  • 0 Have read

Buy this book

Last edited by bgimpertBot
April 15, 2010 | History
An edition of Financial risk analytics (1996)

Financial risk analytics

a term structure model approach for banking, insurance and investment management

  • 0 Ratings
  • 0 Want to read
  • 0 Currently reading
  • 0 Have read

This edition doesn't have a description yet. Can you add one?

Publish Date
Language
English
Pages
396

Buy this book

Edition Availability
Cover of: Financial risk analytics
Cover of: Financial Risk Analytics
Financial Risk Analytics : A Term Structure Model Approach for Banking, Insurance & Investment Management
November 1996, Irwin Professional Pub
Hardcover in English - Har/Dsk edition

Add another edition?

Book Details


Edition Notes

Includes bibliographical references and index.

Published in
Chicago, Ill

Classifications

Dewey Decimal Class
332.1/068/1
Library of Congress
HG1615.25 .D49 1997

The Physical Object

Pagination
xvii, 396 p. :
Number of pages
396

ID Numbers

Open Library
OL997525M
ISBN 10
0786309644
LCCN
96036236
Goodreads
4388754

Community Reviews (0)

Feedback?
No community reviews have been submitted for this work.

Lists

This work does not appear on any lists.

History

Download catalog record: RDF / JSON / OPDS | Wikipedia citation
April 15, 2010 Edited by bgimpertBot Added goodreads ID.
April 14, 2010 Edited by Open Library Bot Linked existing covers to the edition.
December 11, 2009 Edited by WorkBot link works
April 1, 2008 Created by an anonymous user Imported from Scriblio MARC record