| ISBN: | 0792340531 |
|---|---|
| 题名: | Risk management in volatile financial markets edited by Franco Bruni, Donald E.Fair, Richard O`Brien |
| 索书号: | F830.9/R595E |
| 出版发行项: | Dordrecht Kluwer Academic Publishers 1996 |
| 载体形态: | 371p. |
| 丛编说明: | Financial and monetary policy studies v. 32 |