Risk diversification in the credit portfolio : an overview of country practices / JoAnne Morris
By: Morris, JoAnne.
Material type: BookSeries: IMF working paper WP-01-200.Publisher: Washington D.C. : International Monetary Fund (IMF) , 2001Description: 51p. : ill. ; 30 cm.Subject(s): Banks and banking | Risk | Credit; Portfolio management | Bank investmentsItem type | Current location | Collection | Call number | Copy number | Status | Date due | Barcode |
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Documents | BIDS Library and Documentation Center | Non-fiction | UN IMF WP-01-200 (Browse shelf) | C-01 | Available | 104912 |
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UN IMF WP-01-197 Limiting currency volatility to stimulate good market integration : | UN IMF WP-01-2 Crises & liquidity : | UN IMF WP-01-20 Flight to quality or to captivity? information and credit allocation / | UN IMF WP-01-200 Risk diversification in the credit portfolio : | UN IMF WP-01-21 Bank competition & firm creation / | UN IMF WP-01-212 Measuring integrated market & credit risks in bank of Portfolios : | UN IMF WP-01-22 Electoral systems & public spending / |
Includes bibliographical references.