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The Credit Default Swap BasisValue at Risk: The Benchmark for Controlling Market RiskIntroductory Econometrics: Using Monte Carlo Simulation with Microsoft Excel
The Credit Default Swap Basis
by Moorad Choudhry
£19.36
Value at Risk: The Benchmark for Controllin...
by Philippe Jorion
Introductory Econometrics: Using Monte Carl...
by Humberto Barreto
£32.16
High Yield Bonds: Market Structure, Valuation, and Portfolio Strategies: Market Structure, Portfolio Management, and Credit Risk Modeling (McGraw-Hill Library of Investment & Finance)Copula Methods in Finance (The Wiley Finance Series)An Introduction to Credit Risk Modeling (Chapman & Hall/CRC Financial Mathematics Series)
High Yield Bonds: Market Structure, Valuati...
by Theodore Barnhill
Copula Methods in Finance (The Wiley Financ...
by Prof. Umberto Cherubini
£56.49
An Introduction to Credit Risk Modeling (Ch...
by Christian Bluhm
£50.11
The Basel II Risk Parameters: Estimation, Validation, and Stress TestingCollateralized Debt Obligations and Structured Finance: New Developments in Cash and Synthetic Securitization (Wiley Finance)Credit Derivatives: The Definitive Guide
The Basel II Risk Parameters: Estimation, V...
£43.19
Collateralized Debt Obligations and Structu...
by Janet M. Tavakoli
£47.56
Credit Derivatives: The Definitive Guide
£94.05
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