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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Contributions to credit risk2004»»»
Kurth, Alexandre
Tasche, Dirk
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Credit : the complete guide to pricing, hedging and risk management2004»»»
Arvanitis, Angelo
Gregory, Jon
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Credit ratings : methodologies, rationale and default risk2003»»»
Ong, Michael K.
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Credit risk2007»»»
Rakocevic, Zdenka
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Credit risk analytics : measurement techniques, applications, and examples in SAS2016»»»
Baesens, Bart
Rosch, Daniel
Scheule, Harald
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Credit risk management : how to avoid lending disasters and maximize earnings2007»»»
Colquitt, Joetta
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Credit risk management and Basel II : an implementation guide2006»»»
Bhatia, Mohan
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Credit risk management. Practices in Bulgaria and Romania»»»
Georgiev, Georgi
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Credit risk measurement in and out of the financial crisis : new approaches to value at risk and other paradigms2010»»»
Saunders, Anthony
Allen, Linda
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Credit risk modeling2007»»»
Milatovic, Ivanka
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Credit risk modeling and stress-test analysis2007»»»
Vaskov, Mihajlo
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Credit risk modeling at the CBBH2007»»»
Colakovic, Belma
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Credit risk modeling at the MNB (Central Bank of Hungary)2007»»»
Valentinyi-Endresz, Marianna
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Credit risk modeling in emerging market Europe: policy implications2007»»»
Dragulin, Ion
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Credit risk modeling: current practices in the EU2007»»»
Mircea, Romulus
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Credit risk modelling and valuation : an introduction2004»»»
Giesecke, Kay
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Credit risk models and management2004»»»
Shimko, David
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Credit risk revisited2004»»»
Crouhy, Michel
Galai, Dan
Mark, Robert M.
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Credit swap valutation2004»»»
Duffie, Darrell
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Criminalitatea informatica privind transferurile financiare2018»»»
Scheau, Mircea Constantin
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Cross border banking and bank insolvency regimes2007»»»
Parker, David C.
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Cross-border banking in EU implications for crisis management2007»»»
Bichi, Cristian
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Dealing with financial risk2004»»»
Shirreff, David
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Defaults and returns in the high-yield bond market : the year 2003 in review and market outlook2004»»»
Altman, Edward I.
Fanjul, Gonzalo
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Derivatives : risks and opportunities2000»»»
Gemmill, Gordon
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Development of stress test for credit portofolios2011»»»
Gundlach, Volker Matthias
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Dynamic modelling and optimization of non-maturing accounts2007»»»
Frauendorfer, Karl
Schurle, Michael
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EAD estimates for facilities with explicit limits2011»»»
Moral, Gregorio
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Economics of banking2016»»»
Keiding, Hans
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Enhancing credit performance with market-implied credit measures and default swaps2004»»»
Backshall, Tim
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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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Estimating loss given default : experience from banking practice2011»»»
Peter, Christian
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Estimating probabilities of default for low default portofolios2011»»»
Pluto, Katja
Tasche, Dirk
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Estimation of a rating model for corporate exposures2011»»»
Hayden, Evelyn
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Final Basel III modelling : implementation, impact and implications2018»»»
Akkizidis, Ioannis
Kalyvas, Lampros
Farkas, Erich Walter
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Financial crises, liquidity and the international monetary system[2015]»»»
Tirole, Jean
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Financial econometrics : models and methods2019»»»
Linton, Oliver Bruce
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Financial economics2012»»»
Fabozzi, Frank J.
Neave, Edwin H.
Zhou, Guofu
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Financial institutions management : a risk management approach2008»»»
Saunders, Anthony
Cornett, Marcia Millon
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Financial management at Danmarks Nationalbank2004»»»
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Financial markets and institutions2003»»»
Mishkin, Frederic S.
Eakins, Stanley G.
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Financial markets and institutions2012»»»
Mishkin, Frederic S.
Eakins, Stanley G.
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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 safety nets-issues to preemptive measures2007»»»
Kwasniak, Wojciech
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Financial stability outlook in Ukraine2007»»»
Kamasheva, Nadiia
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Foreign exchange reserves : protection connected with financial risks»»»
Szafarczyk, Ewa
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Foreign exchange risk : models, instruments and strategies2002»»»
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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
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.