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050415s2005----enka-----b----001-0-eng-- |
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|a 2005010796
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|a 0470013036 (cloth : alk. paper)
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|a 9780470013038 (cloth : alk. paper)
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|a (OCoLC)000050532
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|a (udesa)000050532USA01
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|a (OCoLC)59756041
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|a (OCoLC)59756041
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|a (OCoLC)990000505320204151
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|a DLC
|c DLC
|d BWKUK
|d OCLCQ
|d BAKER
|d YDXCP
|d Q3H
|d UQ1
|d U@S
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|a pcc
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|a U@SA
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|a HG6024.3
|b .D683 2005
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|a 332.63/2042
|2 22
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100 |
1 |
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|a Dowd, Kevin.
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245 |
1 |
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|a Measuring market risk /
|c Kevin Dowd.
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250 |
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|a 2nd ed.
|
260 |
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|a Chichester, England ;
|a Hoboken, NJ :
|b John Wiley & Sons,
|c c2005.
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300 |
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|a xviii, 390 p. :
|b ill. ;
|c 25 cm. +
|e 1 CD-ROM (4 3/4in.)
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504 |
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|a Includes bibliographical references (p. [365]-377) and index.
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650 |
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|a Financial futures
|x Mathematical models.
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650 |
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|a Risk management
|x Mathematical models.
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650 |
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|a Portfolio management
|x Mathematical models.
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856 |
4 |
1 |
|3 Table of contents
|u http://www.loc.gov/catdir/toc/ecip0511/2005010796.html
|