Fondul de carte al Bibliotecii BNR se regăsește integral în catalogul on-line.
Pentru a realiza o căutare utilizați unul dintre următoarele criterii: titlul sau cuvinte din titlu, autorul, subiectul, locul apariției, editura, anul apariției, ISBN.
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Advanced credit meodel performance testing to meet Basel requirement2005»»»
van Deventer, Donald R.
Wang, Xiaoming
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Advanced credit risk analysis and management2013»»»
Joseph, Ciby
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Aggregation by risk type and inter-risk correlation2008»»»
Bocker, Klaus
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An introduction to liquidity risk2008»»»
Anolli, Mario
Resti, Andrea
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An operational risk ratings approach to better measurement and mangement of operational risk2005»»»
Peccia, Anthony
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Applying basle standards in developing and transition economies1997»»»
Musch, Frederik C.
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Balancing the banks : global lessons from the financial crisis[2015]»»»
Dewatripont, Mathias
Rochet, Jean-Charles
Tirole, Jean
Tribe, Keith
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Banci europene si internationale2006»»»
Negru, Titel
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Banking law perspective: regulatory challenges and implications of the Basel core principles and Basel II»»»
Totev, Dimitar
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Basel II capital adequacy rules for securitiations and for retail exposures2005»»»
Dev, Ashish
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Basel II in the light of Moody's KMV evidence2005»»»
Purhonen, Martti
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Basel IV : the next generation of risk weighted assets2017»»»
Neisen, Martin
Roth, Stefan
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Basel banking supervisors and the construction of an international standard-setter institution»»»
Drach, Frederic Alexis
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Capital allocation to business units and sub-portofolios : the Euler principle2008»»»
Tasche, Dirk
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Capital management through hybrid capital2008»»»
Mouquot, Laetitia
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Ciclurile economice si riscul sistemic2021»»»
Sprincean, Nicu
Andries, Alin-Marius
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Compounding effects between market and credit risk : the case of variable-rate loans2008»»»
Breuer, Thomas
Jandcaka, Martin
Rheinberger, Klaus
Summer, Martin
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Concentration risk in the credit portofolio2008»»»
Resti, Andrea
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Constructing an operational event database2005»»»
Haubenstock, Michael
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Credit portofolio stress testing and scenario analysis2008»»»
Dvorak, Brian
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Credit risk models and the Basel accords2003»»»
van Deventer, Donald R.
Imai, Kenji
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Development and validation of key estimates for capital models2005»»»
Araten, Michel
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Empirical assessment of asset correlations2008»»»
Bocker, Klaus
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Explaining the correlation in Basel II> derivation and evaluation2005»»»
Bluhm, Christian
Overbeck, Ludger
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Explaining the credit risk elements in Basel II2005»»»
Hills, Simon
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Financial risk manager handbook2005»»»
Jorion, Philippe
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Foundations of banking risk : an overview of banking, banking risks, and risk-based banking regulation2009»»»
Apostolik, Richard
Donohue, Christopher
Went, Peter
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From Basel 1 to Basel 3 : the integration of state-of-the-art risk modeling in banking regulation2006»»»
Balthazar, Laurent
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Gestiune bancara2017»»»
Nedelescu, Mihai
Bunescu, Petre
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IRB-compliant models in retail banking2005»»»
Norgate, Richard
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Implementation of an IRB compliant rating system2005»»»
Fritz, Sebastian
Luxenburger, Michael
Miehe, Thomas
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Implementing a Basel II scenario-based AMA for operational risk2005»»»
Anders, Ulrich
Brink, Gerrit Jan van den
van den Brink, Gerrit Jan
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Insurance and operational risk2005»»»
Thirlwell, John
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Interest rate risk on the banking book2008»»»
Resti, Andrea
Sironi, Andrea
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International bank crisis management : a transatlantic perspective2022»»»
Bodellini, Marco
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Interview : Malcolm Knight : Malcolm Knight, the new head of the Bank for International Settlements, calls for much deeper understanding of the way globalised financial markets actually function : as a global institution, the BIS is well placed to supply such analysis and to draw the right policy lessons from it»»»
Mander, Benedict
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Loss distribution approach in practice2005»»»
Frachot, Antoine
Moudoulaud, Olivier
Roncalli, Thierry
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Loss given default and recovery risk: from Basel II standards to effective risk management tools2005»»»
Resti, Andrea
Sironi, Andrea
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Lumea in criza : erorile sistemului2011»»»
Peicuti, Cristina
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Management bancar2023»»»
Capraru, Bogdan
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Managementul activelor bancare : provocarile viitorului2021»»»
Mihai, Eleodor-Alin
Opritescu, Marin
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Market discipline and appropiate disclosure in Basel II2005»»»
White, Lawrence J.
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Market discipline in regulation : pre and post crisis»»»
Flannery, Mark J.
Bliss, Robert R.
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Measuring and managing credit risk2004»»»
Servigny, Arnaud de
Renault, Olivier
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Modelarea cerintelor de capital si provizioane2023»»»
Neagu, Florian
Mihai, Irina
Kubinschi, Matei
Alupoaiei, Alexie
Tatarici, Luminita
Racovita, Stefan
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Operational risk management2007»»»
Moosa, Imad A.
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Pillar II in the new Basel Accord : the challenge of economic capital2008»»»
Resti, Andrea
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Pillar II in the new Basel Accord and in the new European directives2008»»»
Bignami, Martina
Pilati, Andrea
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Piont-in-time versus through-the-cycle ratings2005»»»
Aguais, Scott D.
Forest, Lawrence R.
Wong, Elaine Y. L.
Diaz-Ladezma, Diana
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Portofolio theory in illiquid markets2008»»»
Acerbi, Carlo
Referinţe bibliografice suplimentare pot fi solicitate prin e-mail, la adresa biblioteca[at]bnro.ro.