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      <record key="001" att1="001" value="LIB904373502" att2="LIB904373502">001   LIB904373502</record>
      <field key="010" subkey="">LIB904372005</field>
      <field key="037" subkey="x">englisch</field>
      <field key="050" subkey="x">Aufsatz, Sammelband</field>
      <field key="090" subkey="">015</field>
      <field key="100" subkey="">cohen, kalman j.</field>
      <field key="104" subkey="a">hammer, frederick s.</field>
      <field key="331" subkey="">linear programming models for optimal bank dynamic balance sheet management</field>
      <field key="525" subkey="">reprinted from: mathematical methods in investment and finance, edited by giorgio p. szego and karl shell, amsterdam: north</field>
      <field key="hol" subkey="l">and publishing company and new york: american elsevier publishing company, inc., 1972, pp. 387-413</field>
      <field key="544" subkey="n">8931-A;15</field>
      <field key="596" subkey="a">169 - 195</field>
    </SEQUENTIAL>
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