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    A portfolio approach to improving market and credit risk management 

    Botha, Marius (University of the Free State, 2011-12-15)
    English: The credit crisis (which began in August 2008) has affected almost every segment of the international financial system. Credit has been severely curtailed as banks struggle to contain further losses caused by ...

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    Author
    Botha, Marius (1)
    SubjectAsset correlation (1)
    Credit -- Management (1)
    Credit risk (1)
    Financial risk management (1)Liquidity value at risk (1)
    Performance measures (1)
    Portfolio optimisation (1)
    Risk management (1)
    Thesis (Ph.D. (School of Management))--University of the Free State, 2009 (1)... View MoreDate Issued2011 (1)Has File(s)Yes (1)

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