01341nam a2200349 c 4500001001300000005001500013006001500028007000300043008004100046020003400087041001300121049002800134052001800162056001400180082001400194245012100208246005800329260004000387300007300427500004900500504003300549546004100582650006000623650004700683700004000730700003600770700004200806700004800848700003600896700004800932950001100980KMO20132298320130523155429m m ta130506s2013 ulkd 001 kor  a9788997927548g98320:c\360001 akorheng0 lEM5650540lEM5650541c201a327.53b13-11 a327.532501a332.122100a금융기관의 위험관리 /dJohn C. Hull 지음 ;e강병진,e김솔,e빈기범,e윤선중,e이상호 옮김19aRisk management and financial institutionsg(2nd ed.) a서울 :b시그마프레스,c2013 axiii, 593 p. :b도표 ;c26 cm +e전자 광디스크 (CD-ROM) 1매 a권말부록: 이자율의 복리 빈도 등 a참고문헌과 색인수록 a영어 원작을 한국어로 번역 8a금융 기관 경영[金融機關經營]0KSH2006005357 8a위험 관리[危險管理]0KSH20020301671 aHull, John C.,d1946-0KAC2003039341 a강병진,d1976-0KAC2013135151 a김솔,g金솔,d1976-0KAC2013112121 a빈기범,g賓起範,d1973-0KAC2013135161 a윤선중,d1981-0KAC2013135171 a이상호,g李相昊,d1969-0KAC2022658410 b\36000