RT Journal Article SR Electronic T1 Fixed-Income Risk Modeling in the 1990s JF The Journal of Portfolio Management FD Institutional Investor Journals SP 94 OP 101 DO 10.3905/jpm.1995.409542 VO 22 IS 1 A1 Ronald N. Kahn YR 1995 UL https://pm-research.com/content/22/1/94.abstract AB