Managing credit risk in corporate bond portfolios : a practitioner's guide /
Збережено в:
| Автор: | |
|---|---|
| Формат: | Книга |
| Мова: | Англійська |
| Опубліковано: |
Hoboken, NJ :
Wiley,
2004.
|
| Серія: | Frank J. Fabozzi series
|
| Предмети: | |
| Онлайн доступ: | Contributor biographical information Publisher description Table of contents |
| Теги: |
Немає тегів, Будьте першим, хто поставить тег для цього запису!
|
Схожі ресурси: Managing credit risk in corporate bond portfolios :
- Security analysis and portfolio management /
- Energy risk : valuing and managing energy derivatives /
- How mutual funds work /
- Trim Tabs investing : using liquidity theory to beat the stock market /
- Stock trading techniques based on price patterns : techniques for discovering, analyzing and using price patterns in the short-term and day trading of the stock market /
- Screening the market : a four-step program to find, analyze, buy, and sell stocks /