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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Analiza macroprudentiala : cadru de evaluare a riscului sistemic : provocari pentru politica monetara in conditiile unor riscuri ridicate la adresa stabilitatii financiare2009»»»
Popov, Igor
Vlad, Florea
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Analiza macroprudentiala : cadru de evaluare a riscului sistemic : provocari pentru politica monetara in conditiile unor riscuri ridicate la adresa stabilitatii financiare2009»»»
Udrea, Andreea-Mihaela
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Bancile centrale, criza si postcriza : Romania si Uniunea Europeana incotro?2018»»»
Daianu, Daniel
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Bank bailouts and bail-ins»»»
Roman, Raluca Andreea
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Bank failures, the Great Depression and other "contagious" events»»»
Calomiris, Charles William
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Banking : a decade on from the global financial crisis»»»
Berger, Allen N.
Molyneux, Philip
Wilson, John O. S.
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Banking globalization : cross-border entry, complexity, and systematic risk»»»
Buch, Claudia Maria
DeLong, Gayle Louise
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Banking regulation and the financial crisis2012»»»
Cao, Jin
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Basel III, the Devil and global banking2012»»»
Chorafas, Dimitris N.
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Ciclurile economice si riscul sistemic2021»»»
Sprincean, Nicu
Andries, Alin-Marius
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Climate change as a systemic risk in finance : are macroprudential authorities up to the task?»»»
Grunewald, Seraina
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Climate change as a threat to financial stability : can solutions to this problem accelerate the transition to a low-carbon economy? : a critical review of policy and market-based approaches»»»
Lovisolo, Sara
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Commercial banking and shadow banking : the accelerating integration of banks and markets and its implications for regulation»»»
Boot, Arnoud W. A.
Thakor, Anjan V.
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Controlul Intern al Raportarii Financiare : practici de transparenta si credibilitate bancara2014»»»
Danescu, Andreea Cristina
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Convergenta reala si convergenta nominala in procesul adoptarii monedei unice de catre noile tari membre ale UE2009»»»
Muresan, Mircea
Chirlesan, Dan
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Corporate complexity and systemic risk : a progress report»»»
Carmassi, Jacopo
Herring, Richard J.
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Derivatives and systemic risk : friend or foe?2009»»»
Briault, Clive
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Domestic cycles, financial cycles and policies : what has gone wrong?»»»
Daianu, Daniel
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Financial crises, contagion and the lender of last resort : a reader2002»»»
Goodhart, Charles Albert Eric
Illing, Gerhard
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Financial intermediation and monetary and macroprudential policies»»»
Neri, Stefano
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Gestiunea riscurilor bancare1997»»»
Roxin, Luminita
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Global imbalances, financial crises, and central bank policies2016»»»
Steiner, Andreas
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Globalization and systemic risk2009»»»
Evanoff, Douglas D.
Hoelscher, David S.
Kaufman, George G.
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Globalization and systemic risk2009»»»
Spencer, Grant
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Globalization and systemic risk: where to go from here - policy panel2009»»»
Rutledge, William L.
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Incentive conflict in central bank responses to sectorial turmoil in financial hub countries2009»»»
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International integration, common exposure and systemic risk in the banking sector2009»»»
Allenspach, Nicole
Monnin, Pierre
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Investment funds, shadow banking and systemic risk»»»
Bengtsson, Elias
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Lender of last resort : a new role for the old instrument»»»
Freixas, Xavier
Parigi, Bruno M.
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Lessons from the financial crisis : causes, consequences and our economic future2010»»»
Kolb, Robert W.
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Macroeconomie financiara2001»»»
Aglietta, Michel
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Macroprudential policy and practice2018»»»
Mizen, Paul
Rubio, Margarita
Turner, Philip
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Macroprudential regulation of banks and financial institutions»»»
Dwyer, Gerald P.
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Macroprudential tools of systemic risk analysis»»»
Lupinski, Marcin
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Maintaining financial stability»»»
Hengel, Marco van
Hilbers, Paul
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Managementul activelor bancare : provocarile viitorului2021»»»
Mihai, Eleodor-Alin
Opritescu, Marin
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Managing internal and external network complexity : how digitalization and new technology influence the modeling approach»»»
Grossmann, Stefan
Enzinger, Phillip
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Measuring systemic risk contribution of international mutual funds»»»
Aizenman, Joshua
Jinjarak, Yothin
Zheng, Huanhuan
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Microeconomics of banking1999»»»
Freixas, Xavier
Rochet, Jean-Charles
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New challenges for financial market infrastructure risk management systems»»»
Panov, Dmitry
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On the welfare costs of systemic risk, financial instability, and financial crises2002»»»
Hamada, Koichi
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Opening remarks»»»
Bernanke, Ben S.
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Payments»»»
Humphrey, David B.
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Pension plans and systemic risks2009»»»
Logue, Dennis E.
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Politica fiscal-bugetara si piata de capital2018»»»
Anghelache, Gabriela-Victoria
Jakova, Stela
Oanea, Dumitru-Cristian
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Problems of ensuring the financial stability of financial and credit institutions in the digital economy»»»
Larionova, Irina
Panov, Dmitry
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Progress and confusion : the state of macroeconomic policy2016»»»
Blanchard, Olivier
Rajan, Raghuram Govind
Rogoff, Kenneth S.
Summers, Lawrence H.
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Quantile panel estimation of financial contagion effects»»»
Siebenbrunner, Christoph
Sigmund, Michael
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Quantitative modelling of a systemic risk in a globalized banking system: methodological challenges2009»»»
Summer, Martin
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Recent international experiences in the use of voluntary workouts under distressed conditions»»»
Lieberman, Ira W.
Gobbo, Mario
Mako, William P.
Neyens, Ruth L.
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.