Стопанска академия "Димитър А. Ценов"

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Намерени са 854 резултата.
Сп Ч J 80 f
Каталог "Статии" | Списания
Private Equity Performance and Liquidity Risk
(2012)
Francesco Franzoni; Eric Nowak; Ludovic Phalippou

45126
Каталог "Статии" | Книги
Risk Modeling with Monte Carlo and Real Options Analysis - A Practical Approach
(2012)
Stanimir Kabaivanov

Сп Ч J 80 f
Каталог "Статии" | Списания
Rollover Risk and Market Freezes
(2011)
Viral Acharya; Douglas Gale; Tanju Yorulmazer

Сп Ч J 80 f
Каталог "Статии" | Списания
Systemic Liquidation Risk and the Diversity-Diversification Trade-Off
(2011)
Wolf Wagner

Сп Ч J 80 f
Каталог "Статии" | Списания
A Unified Theory of Tobin's q , Corporate Investment, Financing, and Risk Management
(2011)
Patrick Bolton; Hui Chen; Neng Wang

44148
Каталог "Статии" | Книги
Financial Derivatives and Risk Management
(2011)
Aleksandra Stankovska

Сп С 547 ик
Каталог "Статии" | Списания
Оценка на риска на базата на Risk stories: сравнително изследване между България и Германия
(2011)
Албена Шпангенберг; Петер Видеман; Холгер Шюц

Сп Ч J 80 m
Каталог "Статии" | Списания
Money, Bargaining, and Risk Sharing
(2011)
Nicolas Jacquet; Serene Tan

45052
Каталог "Статии" | Книги
LIfe Insurance Product Pricing: Individual and Regional Risk Characteristics Effect
(2011)
Tatiana Sinyavskaya; Alexandra Tregubova

45052
Каталог "Статии" | Книги
Development of Risk Management System as a Competitive Advantage in Crisis Condition
(2011)
Tatiana Sinyavskaya

45146
Каталог "Книги" | Книги
Risk Management in Banking
(2010)

Сп Ч S 88
Каталог "Статии" | Списания
Reducing Supplier Risk
(2010)
Ari Salonen

Сп Ч J 80 m
Каталог "Статии" | Списания
Depositor Behavior under Macroeconomic Risk: Evidence from Bank Runs in Emerging Economies
(2010)
Eduardo Levy-Yeyati; Maria Peria; Sergio Schmukler

Сп Ч M 75
Каталог "Статии" | Списания
User Participation in Information Systems Security Risk Management
(2010)
Janine Spears; Henri Barki

44339
Каталог "Статии" | Книги
Optimal Risk Management Models
(2010)
Е. Малевская-Малевич; Е. Абрамова; Дж. Дуболазова

Сп Ч J 80 bf
Каталог "Статии" | Списания
Risk-based Capital Requirements and Bank Portfolio Risk
(1995)
Oystein Gjerde; Semmen. Kristian

43176
Каталог "Книги" | Книги
Risk Management for Central Banks and Other Public Investors
(2009)
Fernando Gonzalez; Evangelos Tabakis

II 2079
Каталог "Книги" | Книги
Practice Standard for Project Risk Management
(2009)

46495
Каталог "Книги" | Книги
Managing Risk in Projects
(2009)

Сп Ч S 88
Каталог "Статии" | Списания
Co-Creating Strategic Risk-Return Management
(2009)
Mark Frigo; Venkat Ramaswamy