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  <title>Financial risk manager handbook 2001-2002</title>
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   <publisher>John Wiley &amp; Sons</publisher>
   <dateIssued>2001</dateIssued>
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  <extent>xxii, 808 p. : figs., examples, tabs., index ; 28 </extent>
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 <note>A guide supporting candidates studying for GARP's annual FRM exam, preparing them for assessment and control of risk in financial markets. Uses questions from previous exams to explain the tutorials, outlining essential aspects of financial risk management, from capital markets and credit to quantitative methods.(text cited from www.amazon.com)</note>
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 <classification>EEQ</classification>
 <identifier type="isbn">04710933726</identifier>
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