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Massimo Morini: Understanding and managing model risk: a practical guide for quants, traders and validators
Verhofen, Michael.
Financial Markets and Portfolio Management; New York Vol. 26, Iss. 2, (Jun 2012): 295-296.
DOI:10.1007/s11408-012-0182-5
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Title
Massimo Morini: Understanding and managing model risk: a practical guide for quants, traders and validators
Author
Verhofen, Michael
Pages
295-296
Publication year
2012
Publication date
Jun 2012
ISSN
19344554
e-ISSN
23738529
Source type
Scholarly Journal
Language of publication
English
ProQuest document ID
1112177263
Copyright
Swiss Society for Financial Market Research 2012





