Books on the topic 'Bank portfeli'
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Belotelova, N. P. Upravlenie kreditnym portfelem kommercheskogo banka: Monografii︠a︡. Marketing, 2006.
Find full textGorton, Gary. Corporate control, portfolio choice, and the decline of banking. National Bureau of Economic Research, 1992.
Find full textDeYoung, Robert. Risk overhang and loan portfolio decisions. Federal Reserve Bank of Chicago, 2005.
Find full textAcharya, Viral V. Should banks be diversified?: Evidence from individual bank loan portfolios. Bank for International Settlements, Monetary and Economic Dept., 2002.
Find full textBrunner, Guido F. Die Vermögensverwaltung deutscher Kreditinstitute im Privatkundengeschäft. P. Lang, 1987.
Find full textI, Korobov I︠U︡, Rubin I︠U︡ B, Soldatkin V. I, Promstroĭbank Rossii, Assot︠s︡iat︠s︡ii︠a︡ ėkonomicheskikh vuzov (Russia) та Moskovskiĭ mezhdunarodnyĭ universitet biznesa i informat︠s︡ionnykh tekhnologiĭ., ред. Bankovskiĭ portfelʹ. "SOMINTĖK", 1994.
Find full textMorris, JoAnne. Risk diversification in the credit portfolio: An overview of country practices. International Monetary Fund, Monetary and Exchange Affairs Department, 2001.
Find full textBrandenberger, Susanne. Investment Engineering: Intermediation und Produktegestaltung in der Vermögensverwaltung. P. Haupt, 1995.
Find full textBlattner, Niklaus. Das Vermögensverwaltungsgeschäft der Banken in der Schweiz. P. Haupt, 1996.
Find full textFrame, W. Scott. Federal home loan bank advances and commercial bank portfolio composition. Federal Reserve Bank of Atlanta, 2007.
Find full textFan, Qimiao. Models of bank portfolio behaviour with reference to commercial banks in the United Kingdom. University of Birmingham, 1991.
Find full textFurfine, Craig. Evidence on the response of US banks to changes in capital requirements. Bank for International Settlements, Monetary and Economic Dept., 2000.
Find full textGroup, Globecon, ed. Active bank risk management: Enhancing investment & credit portfolio performance. Irwin Professional Pub., 1995.
Find full textBoitan, Iustina Alina. Crize bancare și sisteme de avertizare timpurie. Editura ASE, 2011.
Find full textDurham, J. Benson. Foreign portfolio investment, foreign bank lending, and economic growth. Federal Reserve Board, 2003.
Find full textLachowski, Sławomir. Restructuring of a bad debt portfolio in a commercial bank in the midst of an economic transition period: Case study Powszechny Bank Gospodarczy w Łodzi. Center for Social and Economic Research, 1995.
Find full textHingston, Roy. Creating the perfect portfolio for your financial institution. Financial Managers Society, 1996.
Find full textMutti, Shadreck Mukanjo. Commercial banks' lending portfolio to agricultural investment. UNZA, 2000.
Find full textShrestha, Sunity. Portfolio behaviour of commercial banks in Nepal. S. Shrestha, 1995.
Find full textBowen, John E. Mark-to-market: Managing the bank portfolio under FASB 15. Probus Publishing Co., 1994.
Find full textT͡Sisarʹ, I. F. Optimizat͡sii͡a finansovykh portfeleĭ bankov, strakhovykh kompaniĭ, pensionnykh fondov. Izd-vo "Delo", 1998.
Find full text(Association), RMA. The customer value imperative: Creating shareholder value through consumer credit portfolio management : an industry best practices report. RMA, 1999.
Find full textCorporation, Loan Pricing. LSTA/LPC mark-to market pricing. Loan Pricing Corporation, 2005.
Find full textRussell, Gail. Portfolio building: Integrating basic skills : a resource bank for project workers. UK Youth, 2002.
Find full textSubeniotis, Demetres Nicolaou. The portfolio behaviour of the Greek commercial banks. University of Birmingham, 1991.
Find full textBoberski, Vincent. Community banking strategies: Steady growth, safe portfolio management, and lasting client relationships. Bloomberg/Wiley, 2010.
Find full textVinten, Gerald. Product portfolio management and corporate performance in the banking sector. Emerald Group Publishing, 2005.
Find full textReszat, Beate. Währungsmanagement von Unternehmen: Ansatzpunkte für die Beurteilung durch die Kreditinstitute. Deutscher Sparkassenverlag, 1991.
Find full textAraten, Michel, and Joseph L. Breeden. Perspectives on credit risk, portfolio management, and capital: Readings from the RMA Journal. Edited by Risk Management Association. RMA, 2014.
Find full textBank, World. Tanzania: Assessment of the capacity-building impact of the World Bank portfolio. World Bank, 1998.
Find full textLossen, Ulrich. Portfolio Strategies of Private Equity Firms: Theory and Evidence. Deutscher Universitäts-Verlag | GWV Fachverlage GmbH, Wiesbaden, 2007.
Find full textViebig, Jan. Equity valuation: Models from leading investment banks. John Wiley & Sons, 2008.
Find full textKaufman, Gordon M. Risk analysis: From prospect to exploration portfolio and back. Alfred P. Sloan School of Management, Massachusetts Institute of Technology, 1993.
Find full textGrundke, Peter. Integrated Market and Credit Portfolio Models: Risk Measurement and Computational Aspects. Betriebswirtschaftlicher Verlag Dr. Th. Gabler / GWV Fachverlage GmbH, Wiesbaden, 2008.
Find full textHua, Yu. Commercial banks' sovereign loan lending behavior and loan portfolio analysis. CIACO, 1989.
Find full textY. M. W. B. Weerasekera. Commercial bank management of loan and deposit portfolio: Implications on the interest rate structure. South East Asian Central Banks, Research and Training Centre, 1996.
Find full textQureshi, Yasin Sebastian. Managed Futures: Versichern Sie Ihr Portfolio: Chancen, Mechanismen und Strategien. Springer, 2010.
Find full textLecubarri, Iñigo. Akbank : when an industrial portfolio is a valuable franchise. Salomon Brothers, 1995.
Find full textEvans, Martin D. D. Portfolio balance, price impact, and secret intervention. National Bureau of Economic Research, 2001.
Find full textC2000 Assessment Portfolio and Test Bank. South-Western Educational Publishing, 1999.
Find full textBerkelaar, Arjan, Ken Nyholm, and Joachim Coche. Central Bank Reserves and Sovereign Wealth Management. Palgrave Macmillan, 2009.
Find full textFabozzi, Frank J. Bank Loans: Secondary Market and Portfolio Management. Wiley & Sons, Incorporated, John, 2007.
Find full textChang, Huifeng, and Marcello Miccoli. Central Bank Digital Currency and Bank Disintermediation in a Portfolio Choice Model. International Monetary Fund, 2023.
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