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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Credit risk models and the Basel accords2003»»»
van Deventer, Donald R.
Imai, Kenji
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Credit risk scorecards : developing and implementing intelligent credit scoring2006»»»
Siddiqi, Naeem
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Dangerous markets : managing in financial crisis2003»»»
Barton, Dominic
Newell, Roberto
Wilson, Gregory
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Designing financial systems in transition economies : strategies for reform in Central and Eastern Europe2002»»»
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Dialogue mapping : building shared understanding of wicked problems2006»»»
Conklin, Jeff
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Discounted cash flow : a theory of the valuation of firms2005»»»
Kruschwitz, Lutz
Loffler, Andreas
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Dynamic modelling and optimization of non-maturing accounts2007»»»
Frauendorfer, Karl
Schurle, Michael
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Econometric analysis of panel data2013»»»
Baltagi, Badi Hani
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Econometric analysis of panel data2005»»»
Baltagi, Badi Hani
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Economic problems of war1942»»»
Steiner, George Albert
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Effective supervision of systemically important banks2011»»»
Mingkang, Liu
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Effects of ownership by investment funds on the performance of Czech firms2002»»»
Weiss, Andrew
Nikitin, Georgiy
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Empirical finance : for finance and banking2012»»»
Sollis, Robert
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Entering an era of global regulatory oversight2011»»»
Diplock, Jane
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Enterprise risk management : a methodology for achieving strategic objectives2008»»»
Monahan, Gregory
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Essential of financial risk management2005»»»
Horcher, Karen A.
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Essentials of Sarbanes-Oxley2007»»»
Anand, Sanjay
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European financial systems in the global economy2005»»»
Reszat, Beate
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Evaluation of likelihood-based surveillance of volatility2008»»»
Bock, David
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Experimental economics : how we can build better financial markets2002»»»
Miller, Ross M.
Smith, Vernon L.
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Financial conditions and investments during the transition : evidence from Czech firms2002»»»
Lizal, Lubomir
Svejnar, Jan
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Financial economics2012»»»
Fabozzi, Frank J.
Neave, Edwin H.
Zhou, Guofu
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Financial markets, banking, and monetary policy2014»»»
Simpson, Thomas D.
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Financial planning & analysis and performance management2018»»»
Alexander, Jack
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Financial reallocation in Russian groups2002»»»
Perotti, Enrico C.
Gelfer, Stanislav
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Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab2011»»»
Danielsson, Jon
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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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Financial surveillance2008»»»
Frisen, Marianne
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Financial system reform in emerging economies : the case of Romania2002»»»
Meyendorff, Anna
Thakor, Anjan V.
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Financial systems in transition2002»»»
Meyendorff, Anna
Thakor, Anjan V.
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Financial valuation workbook : step-by-step exercises and tests to help you master financial valuation2006»»»
Hitchner, James R.
Mard, Michael J.
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Forecasting with the Theta method : theory and applications2019»»»
Nikolopoulos, Kostas I.
Thomakos, Dimitrios D.
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Foreign exchange : a practical guide to the FX markets2006»»»
Weithers, Tim
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Foreign exchange option pricing : a practitioner's guide2011»»»
Clark, Iain J.
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Foundations of banking risk : an overview of banking, banking risks, and risk-based banking regulation2009»»»
Apostolik, Richard
Donohue, Christopher
Went, Peter
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Franchise value and dynamics of financial liberation2002»»»
Hellmann, Thomas
Murdock, Kevin
Stiglitz, Joseph E.
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Fraud case studies : lessons from the bad side of business2007»»»
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GAAP 2008 : interpretation and application of generally accepted accounting principles2007»»»
Epstein, Barry J.
Nach, Ralph
Bragg, Steven M.
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GARCH models : structure, statistical inference and financial applications2010»»»
Francq, Christian
Zakoian, Jean-Michel
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Global private banking and wealth management : the new realities2006»»»
Maude, David
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Global risk management in action2011»»»
Close, Rob
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Handbook of Basel III Capital : enhancing bank capital in practice2017»»»
Ramirez, Juan
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Handbook of anti-money laundering2014»»»
Cox, Dennis W.
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Handbook of computational econometrics2009»»»
Belsley, David A.
Kontoghiorghes, Erricos John
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Handbook of volatility models and their applications2012»»»
Bauwens, Luc
Hafner, Christian Matthias
Laurent, Sebastien
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How to comply with Sarbanes-Oxley section 404 : assessing the effectiveness of internal control2006»»»
Ramos, Michael
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Implementing CRM : from technology to knowledge2007»»»
Finnegan, David Jesse
Willcocks, Leslie P.
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Implication of the financial crisis for risk management and macroprudential supervision2011»»»
Rosengren, Eric S.
Werkema, Joel
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Institutional banking for emerging markets : principles and practice2007»»»
Huang, Wei-Xin
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.