L’esposizione al rischio di tasso di interesse del portafoglio bancario: quali implicazioni per le strategie di Asset & Liability Management?
Author(s) -
Igor Gianfrancesco
Publication year - 2016
Publication title -
risk management magazine
Language(s) - Italian
Resource type - Journals
eISSN - 2724-2153
pISSN - 2612-3665
DOI - 10.47473/2020rmm0060
Subject(s) - humanities , political science , art
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