Rösch, Daniel (2010) Credit Portfolio Models - Statistical Methods. In: Cont, Rama, (ed.) Encyclopedia of Quantitative Finance. Bd. 1. Wiley, Chichester. ISBN 978-0-470-05756-8 (gesamt).
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Item type: | Book section |
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Date: | 2010 |
Institutions: | Business, Economics and Information Systems > Institut für Betriebswirtschaftslehre > Lehrstuhl für Statistik und Risikomanagement (Prof. Dr. Rösch) |
Dewey Decimal Classification: | 300 Social sciences > 330 Economics |
Status: | Published |
Refereed: | Yes, this version has been refereed |
Created at the University of Regensburg: | No |
Item ID: | 28313 |
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