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Намерени са 1146 резултата
ПВ 2017
Каталог "Статии, стандарти, автореферати" | Статия
The effect of financial risk management on the financial performance of commercial banks in Western Balkans before and during COVID-19
(2023)
Agnesa Pervetica; Skender Ahmeti
B 76352
Каталог "Книги" | Книга
Financial Risk Management
A Practitioner's Guide to Managing Market and Credit (2013)
Steven Allen
ПВ 2404
ПВ 2354
Каталог "Статии, стандарти, автореферати" | Списание
Examination of Various Financial Risk Measures for Lodging Firms
(2008)
Seoki Lee
ПС 996
Каталог "Статии, стандарти, автореферати" | Списание
Effects of Retailer Post-purchase Guarantee Policies on Consumer Perceptions with the Moderating Influence of Financial Risk and Product Complexity
(2008)
Alain d' Astous
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
Evaluating Financial Risk in the Medicare Prospective Payment System
(1999)
Maqbool Dada; William White
B 61793
Каталог "Книги" | Книга
Managing Financial Risk
(1990)
Clifford Smith; Glifford Smith; Charles Smithson; D. Wilford
Каталог "Публикации на автори от ИУ" | Студия
Risk Assessment as a Stage of Risk Management in Enterprises in Tourism Sector
(2023)
Plamena Nedyalkova
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Risk-Adjusted Performance
The Correlation Correction (2000)
Arun Muralidhar
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Risk Management in Complex Ogranizations
(1999)
Richard Bookstaber
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Risk, Rationality, and Time Diversification
(1998)
Robert Olsen; Muhammad Khaki
B 68368
Каталог "Книги" | Книга
Analyzing and Managing Banking Risk
A Framework for Assessing Corporate Governance and Financial Risk (2003)
Hennie Van Greuning; Sonja Brajovic Bratanovic
B 76832
Каталог "Книги" | Книга
Financial Stability and Stress Testing
Risk Identification and Assessment within the Macroprudential Framework (2014)
Petr Jakubik
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Interest Rate Sensitivities of Bond Risk Measures
(2000)
Timothy Crack; Sanjay Nawalkha
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Are Risk Premium Anomalies Caused by Ambiguity ?
(2000)
Robert Olsen; George Troughton
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Value at Risk
(2000)
Thomas Linsmeier; Neil Pearson
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Estimating and Pricing Credit Risk
An Overview (2000)
Duen-Li Kao
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Corporate Credit-Risk Dynamics
(2000)
Lea Carty
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Time Diversification and Estimation Risk
(2000)
Bjorn Hansson; Mattias Persson
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
The Three P's of Total Risk Management
(1999)
Andrew Lo