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01204cam a2200337 7i4500 |
| 001 |
0000066360 |
| 005 |
20170620090000.0 |
| 005 |
##20170620121200.0 |
| 003 |
##MY-KlINT |
| 008 |
170620s2014 my a e 001 0 eng d |
| 020 |
# |
# |
|a 9781118796900
|
| 039 |
# |
9 |
|y 201706201212
|z Zuraidah
|
| 040 |
# |
# |
|a INTAN BK
|
| 082 |
0 |
0 |
|a 332.015195
|
| 090 |
0 |
0 |
|a 332.015195
|b MEI
|
| 100 |
1 |
# |
|a Meissner, Gunter,
|d 1957-
|e author
|
| 245 |
1 |
0 |
|a Correlation Risk Modeling and Management :
|b An Applied Guide Including the Basel III Correlation Framework-- with Iinteractive Correlation Models in Excel?'/VBA /
|c GUNTER MEISSNER.
|
| 246 |
0 |
# |
|a Correlation risk modeling and management
|
| 264 |
# |
0 |
|a Singapore
|b John Wiley & Sons
|c [2014]
|
| 264 |
# |
0 |
|c ♭2014
|
| 300 |
# |
# |
|a xix, 330 pages:
|b illustrations;
|c 24cm.
|
| 336 |
# |
# |
|a text
|2 rdacontent
|
| 337 |
# |
# |
|a unmediated
|2 rdamedia
|
| 338 |
# |
# |
|a volume
|2 rdacarrier
|
| 490 |
0 |
# |
|a Wiley Finance Series
|
| 504 |
# |
# |
|a Includes bibliographical references and index
|
| 583 |
# |
# |
|a LULUS
|
| 650 |
# |
0 |
|a Correlation (Statistics)
|
| 650 |
# |
0 |
|a Financial risk --
|x Mathematical models
|
| 830 |
# |
0 |
|a Wiley Finance Series
|
| 999 |
|
|
|a 1505070392
|b BOOK
|c Main Non-Fiction
|e INTAN BK
|