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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Bank and country risk analysis[2002]»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Bank and country risk analysis [Vol.] 1 - [Vol.] 4»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Bank and country risk analysis [Vol.] 1 Bank qualitative risk analysis[2002]»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Bank and country risk analysis [Vol.] 2 Bank financial risk analysis[2002]»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Bank and country risk analysis [Vol.] 3 Country risk analysis[2002]»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Bank and country risk analysis [Vol.] 4 Country risk modelling[2002]»»»
l'Anson, Kenneth
Fight, Andrew
Vandenbroucke, Patrick
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Documentation for derivatives : Annotated sample agreements and confirmations for swaps and other over-the-counter transactions2002»»»
Gooch, Anthony C.
Klein, Linda B.
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European capital markets : integration towards the core2001»»»
Kim, Theodore J.
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Fundamentals of financial analysis1997»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 1 - [Vol.] 5»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 1 Nature and purpose of financial information1997»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 2 Analysis of performance1997»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 3 Financial planning and control1997»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 4 Investment appraisal1997»»»
Naik, Ranjit
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Fundamentals of financial analysis [Vol.] 5 Costs, pricing and decision-making1997»»»
Naik, Ranjit
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Managing credit risk2000»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 1 - Volume 2»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 1 Analysing, rating and pricing the probability of default2000»»»
Chorafas, Dimitris N.
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Managing credit risk Volume 2 The lessons of VaR failures and imprudent exposure2000»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 1 - [Vol.] 6»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 1 Introduction to off balance sheet financing1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 2 Markets and the instruments which they fund1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 3 Understanding the mathematicsof financial analysis1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 4 Tools of financial analysis from differential calculus to integration1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 5 Financial statistics, probabilistic models and fuzzy engineering1996»»»
Chorafas, Dimitris N.
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Practical introduction to advanced financial analysis [Vol.] 6 Hedging and the new measures, delta, gamma, theta, kappa, rho1996»»»
Chorafas, Dimitris N.
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Practical introduction to financial modelling[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 1 - [Vol.] 6»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 1 Model design and structure[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 2 Building a financial model[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 3 Learning to write simple macros[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 4 Risk and uncertainty[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 5 Forecasting techniques[1998?]»»»
Graham, Robert E.
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Practical introduction to financial modelling [Vol.] 6 Optimisation[1998?]»»»
Graham, Robert E.
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The practice of risk management : implementing processes for managing firmwide market risk1998»»»
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Valuing a bank : under IFRS and Basel III2011»»»
Grier, Waymond A.
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Vol. 12002»»»
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Vol. 22002»»»
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