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 derivatives : a primer on credit risk, modeling, and instruments2006»»»
Chacko, George
Sjoman, Anders
Motohashi, Hideto
Dessain, Vincent
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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 pricing models : theory and practice : with 101 figures and 65 tables2004»»»
Schmid, Bernd
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Criminalitatea informatica privind transferurile financiare2018»»»
Scheau, Mircea Constantin
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Crowdfunding»»»
Chapman, Peter
Crown, Simon
Robins, Adam
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Decizii economice in conditii de incertitudine : aplicatii pe piata financiara2005»»»
Stancu, Stelian
Mihail, Nora
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Defences against systemic risk : a greater role and responsibilty for bank lawyers? : judgement-based bank supervision»»»
Gray, Joanna
Metzing, Peter
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Derivative : inginerie financiara : teorie si practica2002»»»
Wilmott, Paul
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Derivatives and internal models2009»»»
Deutsch, Hans-Peter
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Diagnosticul financiar al riscului»»»
Obreja Brasoveanu, Laura
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Disclosures and market discipline: the promise of regtech»»»
Abur, Murat
Dyck, Maximilian
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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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Economic and monetary union in Europe : theory, evidence and practice2003»»»
Baimbridge, Mark
Whyman, Philip B.
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Emerging Europe and the great recession2018»»»
Daianu, Daniel
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English financial markets in the 1830s: information networks, risk assessment and banking crisis2011»»»
Baker, Mae
Collins, J. Michael
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Enhancing financial stability through banking supervision2006»»»
Lazea, Valentin
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Essentials of corporate finance2014»»»
Ross, Stephen A.
Westerfield, Randolph W.
Jordan, Bradford D.
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European Banking Union2015»»»
Busch, Danny
Ferrarini, Guido
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European Monetary Union : a project of promise and risk»»»
De Grauwe, Paul
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Evaluarea proiectelor de investitii»»»
Mitrica, Eugen
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Evaluarea si prevenirea riscului in activitatea de creditare : metode financiar-contabile2008»»»
Gotcu, Cezar Augustin Vasile
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Fazele investitiei si studiile preliminare acesteia»»»
Mitrica, Eugen
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Final Basel III modelling : implementation, impact and implications2018»»»
Akkizidis, Ioannis
Kalyvas, Lampros
Farkas, Erich Walter
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Financial crises2008»»»
Allen, Franklin
Gale, Douglas
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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 econometrics : models and methods2019»»»
Linton, Oliver Bruce
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Financial econometrics modeling : market microstructure, factor models and financial risk measures2011»»»
Gregoriou, Greg N.
Pascalau, Razvan
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Financial independence and accountability for central banks2014»»»
Sullivan, Kenneth
Horakova, Martina
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Financial management at Danmarks Nationalbank2004»»»
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Financial markets and institutions2003»»»
Mishkin, Frederic Stanley
Eakins, Stanley G.
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Financial markets and institutions2012»»»
Mishkin, Frederic Stanley
Eakins, Stanley G.
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Financial markets and institutions2000»»»
Howells, Peter
Bain, Keith
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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 stability and surveillance2006»»»
Bode, Ridvan
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Financial stability in transforming economies2006»»»
Cuccurese, Giuseppe
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Financial stability risks from household and corporate lending. What story does aggregate data tell?2008»»»
Andritzky, Jochen
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Financialization as mathematization : the calculative and regulatory consequences of risk management»»»
Coombs, Nathan
van der Heide, Arjen
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Finante : piete financiare si gestiunea portofoliului : investitii directe si finantarea lor : analiza si gestiunea financiara a intreprinderii2007»»»
Stancu, Ion
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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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Finantele intreprinderilor in economia de piata : notiuni teoretice2020»»»
Treapat, Laurentiu-Mihai
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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 financial markets and institutions1998»»»
Fabozzi, Frank J.
Modigliani, Franco
Ferri, Michael G.
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Foundations of global financial markets and institutions2019»»»
Fabozzi, Frank J.
Jones, Frank J.
Fabozzi, Francesco A.
Mann, Steven V.
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From Basel 1 to Basel 3 : the integration of state-of-the-art risk modeling in banking regulation2006»»»
Balthazar, Laurent
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Fundamentarea deciziilor financiare2016»»»
Strachinaru, Adina Ionela
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Gestiune si audit bancar2008»»»
Dedu, Vasile
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Gestiunea financiara a firmei2022»»»
Carp, Ana
Ciuvica-Enusi, Mariana
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Gestiunea portofoliului de valori mobiliare2009»»»
Dragota, Victor
Dragota, Ingrid-Mihaela
Damian, Oana-Alexandra
Stoian, Andreea
Mitrica, Eugen
Lacatus, Carmen-Maria
Manate, Daniel
Tatu, Lucian
Handoreanu, Catalina-Adriana
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.