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--> Банки. Банковское дело = Banks. Banking
----> банковские риски (дефолт) = banking risk (default)
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--> Банки. Банковское дело = Banks. Banking
----> банковские риски (дефолт) = banking risk (default)
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- банковские риски (дефолт) = banking risk (default)
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Книга
Джонсон, С.
13 банков, которые правят миром: в плену Уолл-стрит и в ожидании следующего финансового краха
Карьера Пресс, 2013 г.
ISBN 978-5-904946-40-1
Джонсон, С.
13 банков, которые правят миром: в плену Уолл-стрит и в ожидании следующего финансового краха
Карьера Пресс, 2013 г.
ISBN 978-5-904946-40-1
Книга
Accessing capital markets through securitization
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-992-9
Accessing capital markets through securitization
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-992-9
Книга
Dattatreya, R. E.
Advanced interest rate and currency swaps: state-of-the-art products, strategies & risk management applications
Irwin, 1994 г.
ISBN 1-557-38444-4
Dattatreya, R. E.
Advanced interest rate and currency swaps: state-of-the-art products, strategies & risk management applications
Irwin, 1994 г.
ISBN 1-557-38444-4
Книга
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
ISBN 0-470-85745-5
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-85745-5
Книга
Chisholm, A. M.
An introduction to capital markets: products, strategies, participants
ISBN 0-471-49866-1
Chisholm, A. M.
An introduction to capital markets: products, strategies, participants
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-49866-1
Книга
Choudhry, M.
An Introduction to Repo Markets
ISBN 1-900520-86-9
Choudhry, M.
An Introduction to Repo Markets
Серия: Griffin guide series
The Securities Institute, 1999 г.ISBN 1-900520-86-9
Книга
Stolz, S. M.
Bank capital and risk-taking: the impact of capital regulation, charter value, and the business cycle
ISBN 3-540-48544-9
Stolz, S. M.
Bank capital and risk-taking: the impact of capital regulation, charter value, and the business cycle
Серия: Kiel studies
Springer-Verlag, 2007 г.ISBN 3-540-48544-9
Книга
Wernz, J.
Bank management and control: strategy, pricing, capital and risk management
ISBN 9783030428655
Wernz, J.
Bank management and control: strategy, pricing, capital and risk management
Серия: Management for professionals
Springer, 2020 г.ISBN 9783030428655
Книга
Bascom, W. O.
Bank Management and Supervision in Developing Financial Markets
The Macmillan Press Ltd, 1997 г.
ISBN 0-333-63387-3
Bascom, W. O.
Bank Management and Supervision in Developing Financial Markets
The Macmillan Press Ltd, 1997 г.
ISBN 0-333-63387-3
Книга
Davis, S. I.
Banking in turmoil: strategies for sustainable growth
Palgrave Macmillan, 2009 г.
ISBN 978-0-230-23571-7
Davis, S. I.
Banking in turmoil: strategies for sustainable growth
Palgrave Macmillan, 2009 г.
ISBN 978-0-230-23571-7
Книга
Banking systems in the crisis: the face of liberal capitalism
Routledge, 2015 г.
ISBN 978-1-13-879885-4
Banking systems in the crisis: the face of liberal capitalism
Routledge, 2015 г.
ISBN 978-1-13-879885-4
Книга
Banking systems in the crisis: the faces of liberal capitalism
Routledge, 2013 г.
ISBN 978-0-415-51789-8
Banking systems in the crisis: the faces of liberal capitalism
Routledge, 2013 г.
ISBN 978-0-415-51789-8
Книга
Dowd, K.
Beyond value at risk: the new science of risk management
ISBN 0-471-97622-9
Dowd, K.
Beyond value at risk: the new science of risk management
Серия: Wiley frontiers in finance
John Wiley & Sons, 1998 г.ISBN 0-471-97622-9
Книга
Fabozzi, F. J.
Capital Markets: Institutions and Instruments
Prentice-Hall International, Inc., 1996 г.
ISBN 0-13-300187-3
Fabozzi, F. J.
Capital Markets: Institutions and Instruments
Prentice-Hall International, Inc., 1996 г.
ISBN 0-13-300187-3
Книга
Capital markets and financial intermediation
Cambridge University Press, 1995 г.
ISBN отсутствует
Capital markets and financial intermediation
Cambridge University Press, 1995 г.
ISBN отсутствует
Книга
Fraser, D. R.
Commercial banking: the management of risk
South-Western, 2001 г.
ISBN 0-324-10083-3
Fraser, D. R.
Commercial banking: the management of risk
South-Western, 2001 г.
ISBN 0-324-10083-3
Книга
Gup, B. E.
Commercial banking: the management of risk
John Wiley & Sons, 2005 г.
ISBN 0-471-46949-1
Gup, B. E.
Commercial banking: the management of risk
John Wiley & Sons, 2005 г.
ISBN 0-471-46949-1
Книга
Competition and profitability in European financial services: strategic, systemic and policy issues
Routledge, 2006 г.
ISBN 0-415-38494-X
Competition and profitability in European financial services: strategic, systemic and policy issues
Routledge, 2006 г.
ISBN 0-415-38494-X
Книга
Park, S.
Contagion of bank failures: the relation to deposit insurance and information
ISBN 978-0-415-52875-7
Park, S.
Contagion of bank failures: the relation to deposit insurance and information
Серия: Routledge library editions
Routledge, 2012 г.ISBN 978-0-415-52875-7
Книга
Greenbaum, S. I.
Contemporary financial intermediation
South-Western, 1995 г.
ISBN 0-03-047093-5
Greenbaum, S. I.
Contemporary financial intermediation
South-Western, 1995 г.
ISBN 0-03-047093-5
Книга
Loader, D.
Controls, procedures and risk
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5486-4
Loader, D.
Controls, procedures and risk
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5486-4
Книга
Crabbe, L. E.
Corporate bond portfolio management
ISBN 0-471-21827-8
Crabbe, L. E.
Corporate bond portfolio management
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-21827-8
Книга
Tavakoli, J. M.
Credit derivatives & synthetic structures: a guide to instruments and applications
ISBN 0-471-41266-X
Tavakoli, J. M.
Credit derivatives & synthetic structures: a guide to instruments and applications
Серия: Wiley finance series
John Wiley & Sons, 2001 г.ISBN 0-471-41266-X
Книга
Gestel van, T.
Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital
Oxford University Press, 2009 г.
ISBN 978-0-19-954511-7
Gestel van, T.
Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital
Oxford University Press, 2009 г.
ISBN 978-0-19-954511-7
Книга
Saunders, A.
Credit risk measurement: new approaches to value at risk and other paradigms
ISBN 0-471-35084-2
Saunders, A.
Credit risk measurement: new approaches to value at risk and other paradigms
Серия: Wiley frontiers in finance
John Wiley & Sons, 1999 г.ISBN 0-471-35084-2
Книга
Saunders, A.
Credit risk measurement in and out of the financial crisis: new approaches to value at risk and other paradigms
ISBN 978-0-470-47834-9
Saunders, A.
Credit risk measurement in and out of the financial crisis: new approaches to value at risk and other paradigms
Серия: Wiley finance series
John Wiley & Sons, 2010 г.ISBN 978-0-470-47834-9
Книга
Loffler, G.
Credit risk modeling using Exel and VBA
ISBN 978-0-470-03157-5
Loffler, G.
Credit risk modeling using Exel and VBA
Серия: Wiley finance series
John Wiley & Sons, 2007 г.ISBN 978-0-470-03157-5
Книга
Credit risk+ in the banking industry
ISBN 3-540-20738-4
Credit risk+ in the banking industry
Серия: Springer finance
Springer-Verlag, 2004 г.ISBN 3-540-20738-4
Книга
Davis, E. P.
Debt, financial fragility, and systemic risk
Clarendon Press, 1992 г.
ISBN 0-19-828752-6
Davis, E. P.
Debt, financial fragility, and systemic risk
Clarendon Press, 1992 г.
ISBN 0-19-828752-6
Книга
Davis, E. P.
Debt, financial fragility, and systemic risk
Clarendon Press, 1995 г.
ISBN отсутствует
Davis, E. P.
Debt, financial fragility, and systemic risk
Clarendon Press, 1995 г.
ISBN отсутствует
Книга
Folcker, R.
Derivatives diary: the strategies of an independent fund manager
John Wiley & Sons, 2001 г.
ISBN 0-471-49771-1
Folcker, R.
Derivatives diary: the strategies of an independent fund manager
John Wiley & Sons, 2001 г.
ISBN 0-471-49771-1
Книга
Klaassen, P.
Economic capital: how it works and what every manager needs to know
ISBN 978-0-12-374901-7
Klaassen, P.
Economic capital: how it works and what every manager needs to know
Серия: Elsevier finance
Elsevier, 2009 г.ISBN 978-0-12-374901-7
Книга
Financial crises, contagion, and the lender of last resort: a reader
Oxford University Press, 2002 г.
ISBN 0-19-924721-8
Financial crises, contagion, and the lender of last resort: a reader
Oxford University Press, 2002 г.
ISBN 0-19-924721-8
Книга
Financial Engineering with Derivatives: Cutting-Edge Innovations & Real-World Applications
Irwin, 1995 г.
ISBN 1-557-38854-7
Financial Engineering with Derivatives: Cutting-Edge Innovations & Real-World Applications
Irwin, 1995 г.
ISBN 1-557-38854-7
Книга
D'Apice, V.
Financial instability: toolkit for interpreting boom and bust cycles
Palgrave Macmillan, 2010 г.
ISBN 978-0-230-24811-3
D'Apice, V.
Financial instability: toolkit for interpreting boom and bust cycles
Palgrave Macmillan, 2010 г.
ISBN 978-0-230-24811-3
Книга
Saunders, A.
Financial institutions management: a modern perspective
Irwin/McGraw-Hill, 2002 г.
ISBN 0-07-120410-5
Saunders, A.
Financial institutions management: a modern perspective
Irwin/McGraw-Hill, 2002 г.
ISBN 0-07-120410-5
Книга
Saunders, A.
Financial institutions management: a modern perspective
ISBN 0-07-114648-2
Saunders, A.
Financial institutions management: a modern perspective
Серия: The Irwin series in finance
Irwin/McGraw-Hill, 1997 г.ISBN 0-07-114648-2
Книга
Basu, S.
Financial liberalization and intervention: a new analysis of credit rationing
Edward Elgar, 2002 г.
ISBN 1-84064-965-8
Basu, S.
Financial liberalization and intervention: a new analysis of credit rationing
Edward Elgar, 2002 г.
ISBN 1-84064-965-8
Книга
Financial markets and institutions: readings
HarperCollins College Publishers, 1993 г.
ISBN 0-06-501606-8
Financial markets and institutions: readings
HarperCollins College Publishers, 1993 г.
ISBN 0-06-501606-8
Книга
Campbell, T. S.
Financial risk management: fixed income and foreign exchange
HarperCollins Publishers, 1993 г.
ISBN 0-06-501156-2
Campbell, T. S.
Financial risk management: fixed income and foreign exchange
HarperCollins Publishers, 1993 г.
ISBN 0-06-501156-2