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  1. KUBRANOVÁ, Magdaléna. Bezpečnostné riziká platobných transakcii v otvorenom bankovníctve. In Ekonomika, financie a manažment podniku XVI. : zborník vedeckých statí pri príležitosti Týždňa vedy a techniky. - Bratislava : Vydavateľstvo EKONÓM, 2022. ISBN 978-80-225-4992-9, s. 169-178. VEGA 1/0140/21.
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  2. MIHALECH, Patrik. Modelling of Non-Maturing Liabilities in Survival Period for Liquidity Risk Management Purposes. In ITEMA 2021. International Scientific Conference. ITEMA 2021: Recent Advances in Information Technology, Tourism, Economics, Management and Agriculture : Proceedings of Fifth International Scientific Conference. - Belgrade : Association of Economists and Managers of the Balkans, 2021. ISBN 978-86-80194-51-6. ISSN 2683-5991, pp. 73-79 online. VEGA 1/0561/21.
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  3. KRÁTKA, Zuzana. Mitigácia operačných rizík poisťovní. In Trendy vo vzdelávaní študentov študijného programu Aktuárstvo : recenzovaný monografický zborník vedeckých prác = Reviewed Monographic Collection of Research Papers. - Bratislava : Vydavateľstvo EKONÓM, 2020. ISBN 978-80-225-4760-4, s. 25-29 CD-ROM. VEGA 1/0166/20, VEGA 1/0647/19.
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  4. BAUMÖHL, Eduard et al. From Physical to Financial Contagion: the COVID-19 Pandemic and Increasing Systemic Risk Among Banks. In EconStor. - [Kiel] : ZBW – Leibniz Information Centre for Economics, 2020, pp. 1-10 [25,8 NS] online. GA20-11769S.
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  5. DVORNICKÝ, Igor. Vplyv vysokej miery konkurencie na kumuláciu rizík v sektore bankovníctva s možným dopadom na reálnu ekonomiku. In Finančné trhy : vedecký časopis = Scientific Journal. - Bratislava : Derivát, 2020. ISSN 1336-5711, 2020, roč. 17, č. 2, s. [1-11] online. VEGA 1/0239/19, VEGA 1/0215/18.
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  6. BAUMÖHL, Eduard et al. Increasing Systemic Risk During the Covid-19 Pandemic: A Cross-Quantilogram Analysis of the Banking Sector. In EconStor. - [Kiel] : ZBW – Leibniz Information Centre for Economics, 2020, pp. 1-35 [50,5 NS] online. GA20-11769S.
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  7. ARKADIEVNA, Yagodkina Izolda et al. Theory and Practice of Bank Risk Management. - Registrovaný: Scopus, Registrovaný: Web of Science. In IBIMA 2019: Education Excellence and Innovation Management through Vision 2020 : Proceedings of the 33rd International Business Information Management Association Conference, 10-11 April 2019, (Granada, Spain). - Norristown : IBIMA, 2019. ISBN 978-0-9998551-2-6, s. 2428-2437.
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  8. MAJER, Lukáš. The Asset Correlation Analysis in the Context of Economic Cycle. In Finančné trhy : vedecký časopis = scientific journal. - Bratislava : Derivát, 2018. ISSN 1336-5711, 2018, roč. 15, č. 1, s. 1-10 online.
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  9. GERNÁT, Peter - KOŠŤÁLOVÁ, Zuzana. Determinanty rizika bankového sektora v SR. In Finančné trhy : vedecký časopis = Scientific Journal. - Bratislava : Derivát, 2018. ISSN 1336-5711, 2018, roč. 15, č. 4, s. 1-16 online. VEGA 1/0693/17, KEGA 030EU-4/2017.
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  10. JANČÍKOVÁ, Eva - PÁSZTOROVÁ, Janka - RANETA, Leonid. Impact of Banking Union on the Banking Industry In Slovak Republic. - Registrovaný: Web of Science. In Financial Management of Firms and Financial Institutions. International Scientific Conference. Financial Management of Firms and Financial Institutions : Proceedings : 11th International Scientific Conference : 6th - 7th September 2017, Ostrava, Czech Republic. - Ostrava : VŠB - Technical university of Ostrava, 2017. ISBN 978-80-248-4139-7. ISSN 2336-162X, s. 364-371.
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