Credit derivatives : risk management, trading & investing /
By: Chaplin, Geoff
Material type: BookSeries: Wiley finance series.Publisher: Chichester, West Sussex, England ; Hoboken, NJ : John Wiley, c2005.Description: xxiv, 311 p. : ill ; 26 cm. + 1 CD-ROM (4 3/4 in.).ISBN: 9780470024164 (cloth : alk. paper); 047002416X (cloth : alk. paper)Program: MAFBSubject(s): Credit derivatives | Risk managementDDC classification: 332.63/2 Online resources: Location MapItem type | Home library | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|
REGULAR | University of Wollongong in Dubai Main Collection | 332.63 CH CR (Browse shelf) | Available | T0029579 |
Total holds: 0
, Shelving location: Main Collection Close shelf browser
332.63 BR CR Credit derivatives and structured credit : | 332.63 CA IN Investor's guide to analyzing companies and valuing shares : | 332.63 CA IN Investor's guide to analyzing companies and valuing shares : | 332.63 CH CR Credit derivatives : | 332.63 FA BO Bond markets, analysis, and strategies / | 332.63 FA BO Bond markets, analysis, and strategies / | 332.63 GO DO The dollar meltdown : |
Includes bibliographical references (p. [303]-304) and index.
MAFB