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  Massimo Morini: Understanding and managing model risk: a practical guide for quants, traders and validators
 
 
Title: Massimo Morini: Understanding and managing model risk: a practical guide for quants, traders and validators
Author: Verhofen, Michael
Appeared in: Financial markets and portfolio management
Paging: Volume 26 (2012) nr. 2 pages 295-296
Year: 2012
Contents:
Publisher: Springer US, Boston
Source file: Elektronische Wetenschappelijke Tijdschriften
 
 

                             Details for article 3 of 7 found articles
 
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