Liquidity risk measurement and management : a practitioner?s guide to global best practices / edited by Leonard Matz and Peter Neu.
Material type:![Text](/opac-tmpl/lib/famfamfam/BK.png)
Item type | Current location | Call number | Materials specified | Status | Date due | Barcode |
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Perpustakaan Ibnu Khaldun General Collection | 332.10681 LIQ 2007 (Browse shelf) | Available | 0000045533 |
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332.1068 ROS 2005 Bank management and financial services | 332.10681 GAR 2005 Managing financial institutions | 332.10681 HUL 2007 Risk management and financial institutions | 332.10681 LIQ 2007 Liquidity risk measurement and management : a practitioner?s guide to global best practices | 332.10681 MCC 2004 Risk from the CEO and board perspective | 332.10684 ALL 2004 Understanding market, credit and operational risk : the value at risk approach | 332.10684 COL 2007 Credit risk management : how to avoid lending disasters and maximize earnings |
Includes index p.391 - 395
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