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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Agricultural commodity price volatility2005»»»
Dehn, Jan
Gilbert, Christopher L.
Varangis, Panos
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Applied econometric time series2015»»»
Enders, Walter
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Ar putea fi Consiliul Monetar o solutie pentru Romania?»»»
Croitoru, Lucian
Daianu, Daniel
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Are we systematically wrong when estimating potential output and the natural rate of interest?»»»
Croitoru, Lucian
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Argentina's macroeconomic collapse2005»»»
Serven, Luis
Perry, Guillermo
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Asset price dynamics, volatility and prediction2005»»»
Taylor, Stephen J.
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Bayesian econometric methods2020»»»
Chan, Joshua
Koop, Gary
Poirier, Dale J.
Tobias, Justin L.
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Bitcoin : libertate, finante, viitor2021»»»
Ajiboye, Timi
Buenaventura, Luis
Gladstein, Alex
Liu, Lily
Lloyd, Alexander
Machado, Alejandro
Song, Jimmy
Vranova, Alena
Costea, Vlad
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Capital markets and investment decision making2019»»»
Dhankar, Raj S.
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Causes of changing financial market volatility»»»
Shiller, Robert J.
Mishkin, Frederic Stanley
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Central Bank of Lithuania : asset allocation in a risk parity framework»»»
Kanapeckas, Jonas
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Coordinating monetary and macroprudential policies2016»»»
Nicolae, Anamaria
Altar, Moisa
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Cum functioneaza piata libera2006»»»
Kurtzman, Joel
Gologan-Florescu, Oana
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Default episodes in the 1980s and 1990s2005»»»
Chuhan, Punam
Sturzenegger, Federico
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Developments in macro-finance yield curve modelling2014»»»
Chadha, Jagjit S.
Durre, Alain C. J.
Joyce, Michael A. S.
Sarno, Lucio
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Dinamica pietelor de capital emergente2014»»»
Diaconasu, Delia-Elena
Pohoata, Ion
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Diversificarea instrumentelor specifice pietei de capital utilizate pentru cresterea stabilitatii economico-financiare ca factor determinant al dezvoltarii sociale in spatiul european[2013]»»»
Alexandru, Antoniade Ciprian
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Dynamic strategic asset allocation at the National Bank of Belgium : why and how to implement it in a central bank»»»
Lavigne, Etienne
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Echilibrul pietei valutare versus hazardul moral2022»»»
Morar Triandafil, Teodor-Adrian
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Evaluarea activelor financiare : o introducere in teoria proceselor stocastice aplicate in finanțe2006»»»
Negrea, Bogdan
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Evaluating econometric forecasts of economic and financial variables2005»»»
Clements, Michael P.
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Evaluating pricing signals from the bond markets2005»»»
Merrick, John J., Jr.
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Evaluating rules in the FED's report and measuring discretion»»»
Cochrane, John H.
Taylor, John B.
Wieland, Volker
Papell, David H.
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Exchange rate volatility and misalignment : evaluating some proposals for reform»»»
Frenkel, Jacob A.
Goldstein, Morris
Krugman, Paul R.
Hormats, Robert D.
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Exchange-rate volatility and reserve management in the Italian experience2004»»»
Santorelli, Andrea
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Finance and volatility2005»»»
Claessens, Stijn
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Financial econometrics : models and methods2019»»»
Linton, Oliver Bruce
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Financial factors in business fluctuations»»»
Gertler, Mark
Hubbard, R. Glenn
Hall, Robert E.
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Financial market volatility : a symposium sponsored by the Federal Reserve Bank of Kansas City, Jackson Hole, Wyoming, August 17-19, 19881988»»»
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Financial stability2013»»»
Hasan, Iftekhar
Altar, Moisa
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Fixed income mathematics : analytical and statistical techniques2006»»»
Fabozzi, Frank J.
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Forecasting volatility in the financial markets2007»»»
Knight, John
Satchell, Stephen
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General discussion : how have central banks reduced inflation? : practical issues»»»
Thiessen, Gordon G.
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Global economic volatility and slap-dash repairs to the international financial architecture»»»
Bond, Patrick
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Globalization of financial markets: international supervisory and regulatory issues»»»
Lamfalussy, Alexandre
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Government size and output volatility : should we forsake automatic stabilization?»»»
Debrun, Xavier
Pisani-Ferry, Jean
Sapir, Andre
Saint-Paul, Gilles
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Has the business cycle changed? : evidence and explanations»»»
Stock, James H.
Watson, Mark W.
DeLong, J. Bradford
Ortiz, Guillermo
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Impact of globalization on monetary policy»»»
Rogoff, Kenneth Saul
Bean, Charles R.
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Introductory econometrics for finance2020»»»
Brooks, Chris
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Introductory econometrics for finance2014»»»
Brooks, Chris
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Labor markets in EMU : what has changed and what needs to change»»»
Bertola, Giuseppe
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Lessons from the Russian crisis of 1998 and Recovery2005»»»
Pinto, Brian
Gurvich, Evsey
Ulatov, Sergei
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Lichiditatea, atacul speculativ din octombrie 2008 si reputatia bancii centrale»»»
Croitoru, Lucian
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Managing credit risk2000»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 1 - Volume 2»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 1 Analysing, rating and pricing the probability of default2000»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 2 The lessons of VaR failures and imprudent exposure2000»»»
Chorafas, Dimitris N.
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Managing economic volatility and crises : a practitioner's guide2005»»»
Aizenman, Joshua
Pinto, Brian
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Managing macroeconomic crises2005»»»
Frankel, Jeffrey A.
Wei, Shang-Jin
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Managing oil booms and busts in developing countries2005»»»
Devlin, Julia
Lewin, Michael
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.