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_a0470997885 _q(v. 4.) |
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_a0470997893 _q(v. 3.) |
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_a0470997990 _q(set) |
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_a0470998008 _q(v. 1.) |
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_a0470998016 _q(v. 2 .) |
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_a9780470997888 _q(v. 4.) |
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_a9780470997895 _q(v. 3.) |
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_a9780470997994 _q(set) |
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_a9780470998007 _q(v. 1.) |
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_a9780470998014 _q(v. 2.) |
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_aUKM _cUKM _dDLC _dYDXCP _dBAKER _dBTCTA _dBWK _dCDX _dZ@L _dBWKUK _dUGX _dAU@ _dMUQ _dALAUL _dRRR _dUN@ |
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082 | 0 | 4 |
_a332.015195 _bA375m 2008- |
100 | 1 |
_9165592 _aAlexander, Carol, _eautor |
|
245 | 1 | 0 |
_aMarket risk analysis / _cCarol Alexander. |
264 | 3 | 1 |
_aChichester, England ; _aHoboken, NJ : _bWiley, _c2008- . |
300 |
_avolumen : _bilustraciones + _e3 CD-ROM (4 3/4 in) |
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336 |
_atexto _btxt _2rdacontent |
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337 |
_ano mediado _bn _2rdamedia |
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338 |
_avolumen _bnc _2rdacarrier |
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500 | _aLa Biblioteca posee: v. 3 y 4. | ||
504 | _aIncluye bibliografía. | ||
505 | 0 | _av. 1. Quantitative methods in finance -- v. 2. Practical financial econometrics -- v. 3. Pricing, hedging, and trading financial instruments -- v. 4. Value-at-risk models. | |
650 | 1 | 4 |
_981017 _aAdministración de riesgos. |
650 | 1 | 4 |
_930814 _aFinanzas _xModelos matemáticos. |
942 |
_2ddc _cGEN |
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991 |
_aC0 _bUN@ |
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991 | _aTE | ||
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_aHZ _b00 _c20140722 _lUDM01 _h1027 |
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_aBATCH _b00 _c20140911 _lUDM01 _h0530 |
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_c124225 _d124225 |
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900 | _aECO | ||
900 | _aCNT |