000 01238nam a22003378a 4500
001 CR9780511844133
003 UkCbUP
005 20170118135011.0
006 m|||||o||d||||||||
007 cr||||||||||||
008 101027r2011||||enk s ||1 0|eng|d
020 _a9780511844133 (ebook)
020 _z9780521111645 (hardback)
035 _a(OCoLC)817925270
040 _aUkCbUP
_cUkCbUP
_erda
100 1 _aSweeting, Paul,
_eauthor.
245 1 0 _aFinancial Enterprise Risk Management /
_cPaul Sweeting.
264 1 _aCambridge :
_bCambridge University Press,
_c2011.
300 _a1 online resource (562 pages) :
_bdigital, PDF file(s).
336 _atext
_btxt
_2rdacontent
337 _acomputer
_bc
_2rdamedia
338 _aonline resource
_bcr
_2rdacarrier
490 0 _aInternational Series on Actuarial Science
500 _aTitle from publisher's bibliographic system (viewed on 02 Apr 2015).
650 0 _aFinancial institutions
_xRisk management.
650 0 _aFinancial services industry
_xRisk management.
650 7 _aMATHEMATICS / Applied.
_2bisacsh
776 0 8 _iPrint version:
_z9780521111645
830 0 _aInternational Series on Actuarial Science.
856 4 0 _uhttp://dx.doi.org/10.1017/CBO9780511844133
999 _c422618
_d422618