Search results

Records found: 61  
Your query: Author Sysno/Doc.kind = "^eu_un_auth h0005453 xkni^"
  1. FABRIS, Nikola - VUJANOVIĆ, Nina. What Drives Credit Risk? Empirical Evidence from Southeast Europe. Working Paper 214. Vienna : The Vienna Institute for International Economic Studies, 2022. 31 s.
    electonic book

    electonic book

  2. SAUNDERS, Anthony - CORNETT, Marcia Millon - ERHEMJAMTS, Otgo. Financial Institutions Management : A Risk Management Approach. 10th Edition. New York : McGraw-Hill, 2021. 920 s. ISBN 978-1-260-57147-9. [Copy count : 1, currently available 0, at library only 1]
    book

    book

  3. VALÁŠKOVÁ, Katarína - KOVÁČOVÁ, Mária - KUBALA, Pavol. Podnikateľské riziko. Recenzenti: Štefan Cisko, Marek Vochozka. 1. vydanie. Žilina : EDIS-vydavateľské centrum ŽU, 2019. 193 s. ISBN 978-80-554-1541-3. [Copy count : 3, currently available 0, at library only 3]
    Podnikateľské riziko

    book

  4. VALÁŠKOVÁ, Katarína - KOVÁČOVÁ, Mária - KUBALA, Pavol. Dlhové financovanie. 1. vydanie. Žilina : EDIS-vydavateľské centrum ŽU, 2019. 159 s. VEGA 1/0428/17. ISBN 978-80-554-1536-9. [Copy count : 2, currently available 0, at library only 2]
    Dlhové financovanie

    book

  5. SIEGEL, Joel G. et al. GAAP Handbook of Policies and Procedures. Riverwoods : Wolters Kluwer/CCH Incorporated, 2019. S.1001-20,001. CCH Publications. ISBN 978-0-8080-4795-7. [Copy count : 1, currently available 0, at library only 1]
    book

    book

  6. HULL, John C. Risk Management and Financial Institutions. 5th Edition. Hoboken : WILEY, 2018. 799 s. Wiley Finance Series. ISBN 978-1-119-44811-2. [Copy count : 6, currently available 0, at library only 6]
    book

    book

  7. HULL, John C. Options, Futures, and Other Derivatives. 9th Edition. Harlow : Pearson, 2018. 891 s. ISBN 978-1-292-21289-0. [Copy count : 2, currently available 1, at library only 1]
    book

    book

  8. BLAHOVÁ, Naďa. Rizika bank a jejich regulace. 1. vydání. Osnice : Ekopress, 2018. 283 s. ISBN 978-80-87865-47-7. [Copy count : 7, currently available 0, at library only 6, Length of Reservation Line 1]
    Rizika bank a jejich regulace

    book

  9. MAJER, Lukáš. Prenos makroekonomických šokov na meranie kreditného rizika v kontexte Basel III : dizertačná práca. Školiteľ: Ľubomíra Gertler. Bratislava, 2018. 116 s. [Copy count : 1, currently available 0, at library only 1]
    book

    book

  10. KADLEČÍK, Kristián. Stanovenie limitov obchodných úverov odberateľom na základe vyhodnocovania ich kreditného rizika : dizertačná práca. Školiteľ: Peter Markovič. Bratislava, 2015. 128 s. [Copy count : 1, currently available 0, at library only 1]
    book

    book


  This site uses cookies to make them easier to browse. Learn more about how we use cookies.