Please use this identifier to cite or link to this item: https://thuvienso.dau.edu.vn:88/handle/DHKTDN/6274
Full metadata record
DC FieldValueLanguage
dc.contributor.authorJorion, Philippe-
dc.date.accessioned2014-11-11T08:21:34Z-
dc.date.available2014-11-11T08:21:34Z-
dc.date.issued2003-
dc.identifier.issn0-471-43003-X-
dc.identifier.urihttps://thuvienso.dau.edu.vn:88/handle/DHKTDN/6274-
dc.description.abstractProviding the core body of knowledge for financial risk managers. Risk management has rapidly evolved over the last decade and has become an indispensable function in many institutions.vi
dc.description.tableofcontentsPart I: Quantitative Analysis Part II: Capital Markets Part III: Market Risk Management Part IV: Credit Risk Management Part V: Operational and Integrated Risk Management Part VI: Legal, Accounting, and Tax Risk Management Part VII: Regulation and Compliance Indexvi
dc.language.isoenvi
dc.publisherJohn Wiley & Sons, Incvi
dc.subjectFinancical Managervi
dc.subjectFinancical Riskvi
dc.subjectHanbookvi
dc.titleFinancial risk manager handbook 2nd editionvi
dc.typeBookvi
Appears in Collections:Ngoại Văn

Files in This Item:
File Description SizeFormat 
Financial risk manager handbook 2nd edition3474.pdf4.65 MBAdobe PDFThumbnail
View/Open


Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.