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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Reinventing retail lending analytics : forecasting, stress testing, capital and scoring for a world of crises2014»»»
Breeden, Joseph L.
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Relatii financiare internationale2010»»»
Brezeanu, Petre
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Remarks on globalization and systemic risk: nonbank financial intermediaries2009»»»
Adams, Julian
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Repozitionarea raportarii financiare : studii si cercetari2012»»»
Lungu, Camelia Iuliana
Caraiani, Chirata
Dascalu, Cornelia
Cimpoeru, Violeta M.
Sahlian, Daniela Nicoleta
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Reputational risk management in financial institutions2014»»»
Kaiser, Thomas
Merl, Petra
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Responsible principles in banks : short-term trend or inevitability?»»»
Kishmariya, Inal
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Riscul in economie : aplicatii in domeniul financiar-bancar2008»»»
Piciu, Gabriela Cornelia
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Riscuri bancare si stabilitate financiara : rolul guvernantei si al reglementarilor2017»»»
Andries, Alin-Marius
Melnic, Florentina
Plescau, Ioana
Sprincean, Nicu
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Riscurile asociate»»»
Bisa, Cristian
Cautis, Alexandru
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Riscurile pentru stabilitatea financiara din Romania generate de sectorul populatiei»»»
Neagu, Florian
Margarit, Angela
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Riscurile pentru stabilitatea financiara din Romania generate de sectorul populatiei»»»
Neagu, Florian
Pislaru, Angela
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Risk and liquidity2019»»»
Shin, Hyun Song
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Risk and volatility : theory, methods and econometric modelling2021»»»
Matei, Marius
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Risk distribution in Kazakhstan's corporate sector2008»»»
Bakhtiozina, Rassima
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Risk management and financial institutions2007»»»
Hull, John C.
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Risk management and financial institutions2018»»»
Hull, John C.
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Risk management and value : valuation and asset pricing2008»»»
Bellalah, Mondher
Prigent, Jean-Luc
Sahut, Jean-Michel
Pariente, Georges
Levyne, Olivier
Azaria, Michel
Delienne, Annie
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Risk management technology in financial services : risk control, stress testing, models and IT systems and structures2007»»»
Chorafas, Dimitris N.
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Risk neutral pricing and financial mathematics : a primer2015»»»
Knopf, Peter M.
Teall, John L.
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Risk trading, risky debt and financial stability»»»
Kealhofer, Stephen
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Romania in Uniunea Europeana : oportunitati si provocari : Conferinta tinerilor economisti : (Bucuresti-septembrie 2007)2008»»»
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Safeguarding financial stability : theory and practice2006»»»
Schinasi, Garry J.
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Sound liquidity management as an investment criterion2007»»»
Brandenburg, Dierk
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Sources of risks in financial innovations : embedded and additional risks in exchange traded funds (ETFs)»»»
Oubenal, Mohamed
Deville, Laurent
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Stabilitatea financiara si strategii financiare2018»»»
Manta, Otilia Elena
Dimitriu, Mihail
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Statistica financiar-bancara si bursiera2003»»»
Roman, Monica
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Strategy, value and risk : industry dynamics and advanced financial management2019»»»
Rogers, Jamie
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Stress testing at the International Monetary Fund»»»
Adrian, Tobias
Morsink, James
Schumacher, Liliana
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Stress testing for commercial, investment, and custody banks»»»
Cope, Daniel
Hsu, Carey
Lively, Clinton
Morgan, James
Schuermann, Til
Sekeris, Evan
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Stress testing for insurers»»»
Peters, Brian
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Stress testing the household sector in Hungary2008»»»
Hollo, Daniel
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Stress testing with market data»»»
Engle, Robert F.
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Stress-testing in Greece2008»»»
Kalfaoglou, Faidon
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Stress-testing in banking : methodologies and applications2009»»»
Quagliariello, Mario
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Stress-testing the corporate sector. Microeconomic approach2008»»»
Teodorescu, Vlad
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Summary and outlook»»»
Liermann, Volker
Stegmann, Claus
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Sustainability disclosure in the EU financial sector»»»
Busch, Danny
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Sustainable finance in Europe : setting the scene»»»
Busch, Danny
Ferrarini, Guido
Grunewald, Seraina
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Systemic risk : the dynamics of modern financial systems2013»»»
Gai, Prasanna
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Systemic risk in banking after the great financial crisis»»»
Bandt, Olivier de
Hartmann, Philipp
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Systemic risk in banking after the great financial crisis»»»
Bandt, Olivier de
Hartmann, Philipp
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Systemic risk, crises, and macroprudential regulation2015»»»
Freixas, Xavier
Laeven, Luc
Peydro, Jose-Luis
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Taming the risk borne by financial products»»»
Larminat, Pierre de
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Tehnica si managementul operatiunilor bancare2003»»»
Mihai, Ilie
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Tehnici de acoperire a riscurilor asociate investitiilor in active financiare»»»
Dragota, Ingrid-Mihaela
Dragota, Victor
Mitrica, Eugen
Damian, Oana-Alexandra
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The "big C": identifying and mitigating contagion»»»
Forbes, Kristin J.
Allen, Franklin
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The (near) future of central bank digital currencies : risks and opportunities for the global economy and society2021»»»
Bilotta, Nicola
Botti, Fabrizio
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The FED and the White House : on most major policy issues, Alan Greenspan sees eye-to-eye with Treasury Secretary Paul O'Neill and indeed with President Bush : but differences cand be discerned over policy towards emerging markets, reports John Berry of the Washington Post»»»
Greenspan, Alan
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The Oxford handbook of banking2019»»»
Berger, Allen
Molyneux, Philip
Wilson, John O. S.
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The anthropological study of financialization»»»
Weiss, Hadas
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.