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Quantitative Credit Portfolio Management: Practical Innovations for Measuring and Controlling Liquidity, Spread, and Issuer Concentration Risk (Frank J. Fabozzi Series Book 202) eBook : Ben Dor, Arik, Dynkin, Lev, Hyman, Jay, Phelps,
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The Standard & Poor's Guide to Measuring and Managing Credit Risk: de Servigny, Arnaud, Renault, Olivier: 9780071417556: Amazon.com: Books
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