Franklin
Staff View
LEADER 01624nam 2200313 a 4500
001
9977533896403681
005
20170809171422.0
006
m o d |
007
cr -n---------
008
070405s2007 nyua ob 001 0 eng
010
z| 2007014284
020
a| 1-119-20422-4
020
a| 1-282-68426-4
020
a| 9786612684265
020
a| 0-470-88301-4
035
a| (CKB)2560000000011259
035
a| (EBL)537331
035
a| (OCoLC)638860352
035
a| (SSID)ssj0000384146
035
a| (PQKBManifestationID)11249338
035
a| (PQKBTitleCode)TC0000384146
035
a| (PQKBWorkID)10338806
035
a| (PQKB)11692130
035
a| (MiAaPQ)EBC537331
035
a| (CaSebORM)9780470885048
035
a| (EXLCZ)992560000000011259
040
a| MiAaPQ
c| MiAaPQ
d| MiAaPQ
041
a| eng
050
4
a| HG6024.A3
b| C737 2007
082
0
0
a| 332.63/2
a| 332.632
a| 332.6457
090
a| HG6024.A3
b| C737 2007
100
1
a| Douglas, Rohan,
e| author.
245
0
0
a| Credit derivative strategies
h| [electronic resource] :
b| new thinking on managing risk and return /
c| edited by Rohan Douglas.
250
a| 1st ed.
260
a| New York :
b| Bloomberg Press,
c| 2007.
300
a| 1 online resource (241 p.)
336
a| text
b| txt
337
a| computer
b| c
338
a| online resource
b| cr
347
a| text file
490
1
a| Bloomberg Financial ;
v| v.44
500
a| Description based upon print version of record.
546
a| English
504
a| Includes bibliographical references and index.
505
0
a| pt. 1. Investment strategies -- pt. 2. Risk management strategies -- pt. 3. Pricing, products, and procedures.
520
a| "Credit Derivatives are financial contracts that transfer credit risk--the risk that a debtor will not repay a loan--between parties. Credit Derivative Strategies describes for professional investors current ways of participating in this rapidly expanding market, including how to select credit hedge funds, analyze event risk, find relative value opportunities, and choose synthetic collateralized debt obligations (CDOs)"--Provided by publisher.
650
0
a| Credit derivatives.
650
0
a| Risk management.
655
4
a| Electronic books.
700
1
a| Douglas, Rohan.
776
z| 0-470-88504-1
776
z| 1-57660-187-0
830
0
a| Bloomberg Financial
906
a| BOOK