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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Analyzing monetary policy : stock prices and exchange rate2007»»»
Ivrendi, Mehmet
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Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns2018»»»
Alcock, Jamie
Satchell, Stephen
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Cointegrated structural VAR analysis2006»»»
Lutkepohl, Helmut
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Comments on 'Monetary transmission mechanism in Albania'2009»»»
Mitlid, Kerstin
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Convergenta economica2008»»»
Marinas, Marius-Corneliu
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Credit risk measurement in and out of the financial crisis : new approaches to value at risk and other paradigms2010»»»
Saunders, Anthony
Allen, Linda
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Cresterea economica exogena : o analiza a modelelor de tip Solow-Swan folosind date panel2019»»»
Imbrisca, Cosmin-Ionut
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Does financial integration improve countries' growth opportunities?2009»»»
De Nicolo, Gianni
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Dynamics of income distribution in a market economy : possibilities for poverty allevation»»»
Saeed, Khalid
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Econometria pentru ... economisti; Econometrie: teorie si aplicatii2003»»»
Pecican, Eugen Stefan
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Economic growth and environmental quality in a post-pandemic world : new directions in the econometrics of the environmental Kuznets Curve2023»»»
Shahbaz, Muhammad
Balsalobre-Lorente, Daniel
Sharma, Rajesh
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Empirical finance : for finance and banking2012»»»
Sollis, Robert
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Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab2011»»»
Danielsson, Jon
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Global and national macroeconometric modelling : a long-run structural approach2006»»»
Garratt, Anthony
Lee, Kevin
Pesaran, M. Hashem
Shin, Yongcheol
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Growth and cycle in the Eurozone2007»»»
Mazzi, Gian Luigi
Savio, Giovanni
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Handbook of computational econometrics2009»»»
Belsley, David A.
Kontoghiorghes, Erricos John
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Macroeconomic effects of fiscal policy in Albania: a SVAR approachs.a.»»»
Mancellari, Armela
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Managementul riscului cu produse financiare derivate2008»»»
Lupu, Radu
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Market risk analysis2008»»»
Alexander, Carol
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Market risk analysis Vol. 1 - Vol. 4»»»
Alexander, Carol
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Market risk analysis Vol. 1 Quantitative methods in finance2008»»»
Alexander, Carol
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Market risk analysis Vol. 2 Practical financial econometrics2008»»»
Alexander, Carol
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Market risk analysis Vol. 3 Pricing, hedging and trading financial instruments2008»»»
Alexander, Carol
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Market risk analysis Vol. 4 Value-at-risk models2008»»»
Alexander, Carol
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Methods for applied macroeconomic research2007»»»
Canova, Fabio
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Modele economice de gestionare a socului pandemic COVID-19 : schita strategica2021»»»
Dinga, Emil
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Monetary economics in globalised financial markets2009»»»
Belke, Ansgar
Polleit, Thorsten
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Monetary transmission in Europe : the role of financial markets and credit2000»»»
Kakes, Jan
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Money shocks and the current account2001»»»
Lane, Philip Richard
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Optimal currency area between the EU and accession countries: the status quo2003»»»
Fidrmuc, Jarko
Korhonen, Iikka
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Order selection in testing for the cointegration rank of a VAR process1999»»»
Lutkepohl, Helmut
Saikkonen, Pentti
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Politica monetara in Romania»»»
Botel, Cezar
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Sisteme cibernetice, modele, invarianta»»»
Constantinescu, P.
Nicolau, Edmond
Nicorovici, N.
Porumbaru, V.
- Descriere: p. 72-83
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Structural vector autoregressive analysis2017»»»
Kilian, Lutz
Lutkepohl, Helmut
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The cointegrated VAR model : methodology and applications2006»»»
Juselius, Katarina
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The econometrics of macroeconomic modelling2005»»»
Bardsen, Gunnar
Eitrheim, Oyvind
Jansen, Eilev S.
Nymoen, Ragnar
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The international effects of monetary and fiscal policy in a two-country model2001»»»
Betts, Caroline
Devereux, Michael B.
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