Tapadar, Pradip, Porteous, Bruce (2006) Economic Capital and Financial Risk Management for Financial Services Firms and Conglomerates. The Actuary India, XVII (4). pp. 6-7. (doi:10.1057/9780230512702) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28496)
| The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided. | |
| Official URL: https://doi.org/10.1057/9780230512702 |
|
| Item Type: | Article |
|---|---|
| DOI/Identification number: | 10.1057/9780230512702 |
| Subjects: | Q Science > QA Mathematics (inc Computing science) |
| Institutional Unit: | Schools > School of Engineering, Mathematics and Physics > Mathematical Sciences |
| Former Institutional Unit: |
Divisions > Division of Computing, Engineering and Mathematical Sciences > School of Mathematics, Statistics and Actuarial Science
|
| Depositing User: | Pradip Tapadar |
| Date Deposited: | 23 Nov 2011 15:42 UTC |
| Last Modified: | 20 May 2025 11:34 UTC |
| Resource URI: | https://kar.kent.ac.uk/id/eprint/28496 (The current URI for this page, for reference purposes) |
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