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Credit Derivatives: Risk Management, Trading and Investing (The Wiley Finance Series) Book
Theory, models, and implementation for all major credit derivatives Credit Derivatives provides a comprehensive account of the theory, modeling, and implementation of these popular hedging instruments while, at the same time, identifies model shortcomings and hidden risks. It introduces-and goes beyond-mathematical models to explore all aspects of credit derivative products.Read More
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- 047002416X
- 9780470024164
- Geoff Chaplin
- 20 May 2005
- John Wiley & Sons
- Hardcover (Book)
- 336
- Har/Cdr
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