Fondul de carte al Bibliotecii BNR se regăsește integral în catalogul on-line.
Pentru a realiza o căutare utilizați unul dintre următoarele criterii: titlul sau cuvinte din titlu, autorul, subiectul, locul apariției, editura, anul apariției, ISBN.
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A great deal of ruin : financial crises since 19292019»»»
Gerber, James
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Abordari in economia riscului si incertitudinii2006»»»
Doltu, Theodora
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Beyond diversification : what every investor needs to know about asset allocation2021»»»
Page, Sebastien
Sharps, Rob
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Capital Markets Union and international risk-sharing»»»
Marinescu, Ada Cristina
Popescu, Adela Simona
Puiu, Lavinia-Florenta
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Capital markets : institutions and instruments2009»»»
Fabozzi, Frank J.
Modigliani, Franco
Jones, Frank J.
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Commercial banking risk management : regulation in the wake of the financial crisis2017»»»
Tian, Weidong
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Credit risk management : how to avoid lending disasters and maximize earnings2007»»»
Colquitt, Joetta
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Economia riscului si incertitudinii2004»»»
Gogoneata, Basarab
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Economic capital allocation with Basel II : cost, benefit and implementation procedures2006»»»
Chorafas, Dimitris N.
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Emerging Europe and the great recession2018»»»
Daianu, Daniel
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Financial risk management : models, history, and institutions2011»»»
Malz, Allan M.
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Financial risk manager handbook2005»»»
Jorion, Philippe
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Finante : suport de curs Vol. 1 Piete financiare si gestiunea portofoliului2004»»»
Stancu, Ion
Armeanu, Daniel
Balu, Florentina
Damian, Oana-Alexandra
Dragota, Ingrid-Mihaela
Dragota, Victor
Ivanescu, Dan Nicolae
Jianu, Ana
Lipara, Carmen
Tudor, Roxana
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Fundamentals of investment : a practitioner's guide2019»»»
O'Loughlin, Brian
O'Brien, Frank
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Gestiunea portofoliului de active2010»»»
Badea, Leonardo
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Gestiunea portofoliului in context international»»»
Dragota, Victor
Dragota, Ingrid-Mihaela
Damian, Oana-Alexandra
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Inefficient markets : an introduction to behavioral finance2013»»»
Shleifer, Andrei
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Interest rate derivatives : a practical guide to applications, pricing and modelling2006»»»
James, Todd
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International finance : new players and global markets2021»»»
Lessambo, Felix I.
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Le capital risque1987»»»
Bertoneche, Marc
Vickery, Lister
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Linear factor models in finance2005»»»
Knight, John
Satchell, Stephen
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Market risk analysis2008»»»
Alexander, Carol
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Market risk analysis Vol. 1 - Vol. 4»»»
Alexander, Carol
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Market risk analysis Vol. 1 Quantitative methods in finance2008»»»
Alexander, Carol
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Market risk analysis Vol. 2 Practical financial econometrics2008»»»
Alexander, Carol
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Market risk analysis Vol. 3 Pricing, hedging and trading financial instruments2008»»»
Alexander, Carol
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Market risk analysis Vol. 4 Value-at-risk models2008»»»
Alexander, Carol
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Measuring market risk2005»»»
Dowd, Kevin
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Modele multifactoriale»»»
Dragota, Victor
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Multinational financial management2003»»»
Shapiro, Alan C.
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Piata de capital1998»»»
Francu, Marin
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Piata financiara : componenta fundamentala a pietei globale : echilibru, cooperare, integrare2015»»»
Mihai, Ilie
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Politica fiscal-bugetara si piata de capital2018»»»
Anghelache, Gabriela-Victoria
Jakova, Stela
Oanea, Dumitru-Cristian
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Riscul in activitatea economica : ipostaze, factori, modalitati de reducere2003»»»
Prunea, Petru
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Riscul si brandurile corporative : sinteze si studii de caz pentru studenti2018»»»
Treapat, Laurentiu-Mihai
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The Role of Poorly Phased Liberalization in Korea's Financial Crisis2001»»»
Cho, Yoon Je
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The political economy of financial market regulation : the dynamics of inclusion and exclusion2006»»»
Mooslechner, Peter
Schuberth, Helene
Weber, Beat
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The shape of risk : a new look at risk management2006»»»
Fishkin, Charles A.
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Understanding financial crises2007»»»
Allen, Franklin
Gale, Douglas
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Vol. 1: Analiza si diagnostic financiar. Planificare si gestiune financiara. Decizii de investitii si de finantare. Finante de piata2002»»»
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.