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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Intraday liquidity : forecast using pattern recognition»»»
Liermann, Volker
Li, Sangmeng
Dobryashkina, Victoria
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Introduction»»»
Liermann, Volker
Stegmann, Claus
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Introduction and overview»»»
Doyne Farmer, J.
Kleinnijenhuis, Alissa M.
Schuermann, Til
Wetzer, Thom
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Introduction to the work and operational risk»»»
Leone, Paola
Porretta, Pasqualina
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Investit : cum am schimbat din temelii sectorul investițiilor2021»»»
Schwab, Charles
Ghiurco, Bogdan
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Investment funds, shadow banking and systemic risk»»»
Bengtsson, Elias
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Irrational exuberance2016»»»
Shiller, Robert J.
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Is there a regional financial market developing?2006»»»
Fullani, Ardian
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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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Leveraging policy steer? : industrial policy, risk-sharing, and the European Investment Bank»»»
Griffith-Jones, Stephany
Naqvi, Natalya
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Leveraging predictive analytics within a value driver based planning framework»»»
Valjanow, Simon
Enzinger, Phillip
Dinges, Florian
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Liabilities associated with distributed ledgers : a comparative analysis»»»
Zetzsche, Dirk
Buckley, Ross P.
Arner, Douglas W.
Didenko, Anton
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Liquidity management at UBS2007»»»
McLean Forrest, Bruce
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Liquidity risk measurement and management : Basel III and beyond2011»»»
Matz, Leonard
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Lumea in criza : erorile sistemului2011»»»
Peicuti, Cristina
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Macrofinancial stress test scenario design : for banks and beyond»»»
Gross, Marco
Henry, Jerome
Rancoita, Elena
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Management bancar2023»»»
Capraru, Bogdan
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Management financiar2004»»»
Bogdan, Ioan
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Management financiar2012-2021»»»
Dragota, Victor
Obreja Brasoveanu, Laura
Dragota, Ingrid-Mihaela
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Management financiar Volumul 1 - Volumul 3»»»
Dragota, Victor
Obreja Brasoveanu, Laura
Dragota, Ingrid-Mihaela
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Management financiar Volumul 1 Diagnosticul financiar al companiei2012»»»
Dragota, Victor
Obreja Brasoveanu, Laura
Dragota, Ingrid-Mihaela
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Management financiar Volumul 2 Management financiar strategic2016»»»
Dragota, Victor
Obreja Brasoveanu, Laura
Dragota, Ingrid-Mihaela
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Managementul financiar bancar al riscului de faliment corporativ : abordari empirice moderne in cercetarea stiintifica financiara2008»»»
Brezeanu, Petre
Triandafil, Cristina Maria
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Managementul portofoliului si al riscului pe piata titlurilor financiare2003»»»
Olteanu, Alexandru
Olteanu, Florin Manuel
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Managementul riscului : o abordare integrata2014»»»
Ciocoiu, Carmen Nadia
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Managementul riscului bancar2012»»»
Dimitriu, Maria
Mihalascu, Ruxandra
Oprea, Ioana-Aurelia
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Managementul riscului cu produse financiare derivate2008»»»
Lupu, Radu
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Managementul riscului in afaceri si proiecte2006»»»
Ciocoiu, Carmen Nadia
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Managementul riscului in investitiile internationale2005»»»
Horobet, Alexandra
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Managementul riscurilor financiar-bancare2006»»»
Olteanu, Alexandru
Olteanu, Madalina Antoaneta
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Managementul riscurilor financiar-bancare Vol. 12006»»»
Olteanu, Alexandru
Olteanu, Madalina Antoaneta
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Managementul riscurilor financiar-bancare Vol. 1 - Vol. 2»»»
Olteanu, Alexandru
Olteanu, Madalina Antoaneta
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Managementul riscurilor financiar-bancare Vol. 22006»»»
Olteanu, Alexandru
Olteanu, Madalina Antoaneta
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Managementul riscurilor financiare utilizand derivatele financiare : studiu comparativ pentru Europa Centrala si de Est»»»
Anton, Sorin Gabriel
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Managementul riscurilor in cadrul institutiilor financiare nebancare (IFN)2008»»»
Mihai, Ilie
Velicu, Ileana Cosinzeana
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Managing a funding crisis: citizens first bancorp, a case study 1989-19942007»»»
Mason, Bruce W.
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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 internal and external network complexity : how digitalization and new technology influence the modeling approach»»»
Grossmann, Stefan
Enzinger, Phillip
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Managing the risks of financial intermediaries : transforming approaches and reality»»»
Panov, Dmitry
Larionova, Irina
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Mapping financial stability2014»»»
Sarlin, Peter
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Market developments in banks' funding markets2007»»»
Neu, Peter
Leistenschneider, Armin
Wondrak, Bernhard
Knippschild, Martin
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Market risk analysis2008»»»
Alexander, Carol
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Market risk analysis Vol. 1 - Vol. 4»»»
Alexander, Carol
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Market risk analysis Vol. 1 Quantitative methods in finance2008»»»
Alexander, Carol
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Market risk analysis Vol. 2 Practical financial econometrics2008»»»
Alexander, Carol
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Market risk analysis Vol. 3 Pricing, hedging and trading financial instruments2008»»»
Alexander, Carol
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.