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Managing portfolio credit risk in banks /
"Attempts to demystify various standard mathematical and statistical techniques that can be applied in measuring and managing portfolio credit risk in the emerging market in India"--
| Yazar: | |
|---|---|
| Materyal Türü: | Printed Book |
| Baskı/Yayın Bilgisi: |
New Delhi:
Cambridge University Press
2016.
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| Konular: | |
| Online Erişim: | https://www.cambridge.org/core/books/managing-portfolio-credit-risk-in-banks/CCA56DFE92A48E8AFE9705E875DEC814 |
Internet
https://www.cambridge.org/core/books/managing-portfolio-credit-risk-in-banks/CCA56DFE92A48E8AFE9705E875DEC814MG University
| Yer Numarası: |
332.106 81 Q6 |
|---|---|
| Kopya Bilgisi | Konumu erişilebilir değil. |