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High yield bonds : market structure, portfolio management, and credit risk modeling
[NT 42944] Record Type:
[NT 1579] Language materials, printed : [NT 40817] monographic
[NT 47348] Title Information:
market structure, portfolio management, and credit risk modeling
[NT 47354] Secondary Intellectual Responsibility:
Barnhill,Theodore M.,
[NT 47354] Secondary Intellectual Responsibility:
ShenkmanMark R.,
[NT 47354] Secondary Intellectual Responsibility:
Maxwell,William F., 1965-
[NT 47351] Place of Publication:
New York
[NT 47263] Published:
McGraw-Hill;
[NT 47352] Year of Publication:
c1999
[NT 47264] Description:
xxxii, 574 p.ill. : 24 cm.;
[NT 47298] Series:
[Irwin library of investment & finance]
[NT 47266] Subject:
Portfolio management -
[NT 47266] Subject:
Credit -
[NT 47266] Subject:
Junk bonds -
[NT 47265] Notes:
Series statement from jacket
[NT 50961] ISBN:
0-07-006786-4
High yield bonds : market structure, portfolio management, and credit risk modeling
High yield bonds
: market structure, portfolio management, and credit risk modeling / edited by Theodore M. Barnhill, William F. Maxwell, and Mark R. Shenkman - New York : McGraw-Hill, c1999. - xxxii, 574 p. ; ill. ; 24 cm.. - ([Irwin library of investment & finance]).
Series statement from jacket.
Includes bibliographical references and index.
ISBN 0-07-006786-4
Portfolio managementCreditJunk bonds
Barnhill,, Theodore M.
High yield bonds : market structure, portfolio management, and credit risk modeling
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market structure, portfolio management, and credit risk modeling
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