Стопанска академия "Димитър А. Ценов"

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Намерени са 854 резултата.
Сп Ч J 80 f
Каталог "Статии" | Списания
Systemic Risk and International Portfolio Choice
(2004)
Sanjiv Das; Raman Uppal

Сп Ч J 80 f
Каталог "Статии" | Списания
Default Risk in Equity Returns
(2004)
Maria Vassalou; Yuhang Xing

Сп Ч J 80 f
Каталог "Статии" | Списания
Risk Sharing and Asset Prices: Evidence from a Natural Experiment
(2004)
Anusha Chari; Peter Henry

Сп Ч S 88
Каталог "Статии" | Списания
Outsourcing? At Your Own Risk
(2004)
Mark Beasley; Mariane Bradford; Don Pagach

Сп Ч W 83
Каталог "Статии" | Списания
Policies on Managing Risk in Agricultural Markets
(2004)
Donald Larson; Jock Anderson; Panos Varangis

Сп Ч S 88
Каталог "Статии" | Списания
Managing Risk Proactively
(2003)
Bruce Fraser

Сп Ч S 88
Каталог "Статии" | Списания
Making Sense of the Market and What You Can Do to Reduce Your Risk
(2003)
Spencer Arnesen; Jeff Thompson

Сп Ч J 80 f
Каталог "Статии" | Списания
Risk Management With Derivatives by Dealers and Market Quality in Government Bond Markets
(2003)
Narayan Naik; Pradeep Yadav

Сп Ч W 83
Каталог "Статии" | Списания
Risk Sharing in Labour Markets
(2003)

40522
Каталог "Статии" | Книги
Foreign investments and risk - status, problems and interaction with Bulgarian business cycle
(2003)
Penka Goranova; Lyubomir Ivanov

40522
Каталог "Статии" | Книги
Risk monitoring with major bank credits by means of corporate strategic planning
(2003)
Konstantins Pudovskis

Сп Ч S 88
Каталог "Статии" | Списания
Is Your Company at Risk?
(2002)
John Collard

Сп Ч J 80 B
Каталог "Статии" | Списания
Risk Management in the Shadow of Enron
(2002)
Frances Ayres; Dennis Logue

40037
Каталог "Статии" | Книги
On Prognosis Assessment of Unemployment Risk in the Event of Consumer Crediting
(2002)
Angel Angelov

40037
Каталог "Статии" | Книги
Alternative Risk Financing Strategies for Commodities
(2002)
Adriaan Steyn; Tom Cronje; Gawie Toit

40037
Каталог "Статии" | Книги
The forfaiting agreement: A mechanism of Decreasing the Credit Risk of Business
(2002)
Thomas Hatzigayos

40037
Каталог "Статии" | Книги
Financial leverage and risk: An empirical analysis
(2002)
Priit Sander

40448
Каталог "Книги" | Книги
Simulation Modeling Using @ RISK
Uptated for Version 4 (2001)
Wayne Winston

24634
Каталог "Книги" | Книги
Risk and Return in Finance
V. 1 - 2 (1977)
V. 1

24634
Каталог "Книги" | Книги
Risk and Return in Finance
V. 1 - 2 (1977)
V. 2