Dissertations / Theses on the topic 'Bank portfeli'
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Park, Jung Chik. "Business cycle and bank loan portfolio performance: empirical evidence from Brazilian banks." reponame:Repositório Institucional do FGV, 2011. http://hdl.handle.net/10438/8903.
Full textStankus, Tadas. "Kreditų portfelio rizikos valdymas DnB NORD banko pavyzdžiu." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2007. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2007~D_20070816_163352-66363.
Full textJasinskas, Gediminas. "Banko paskolų portfelio valdymas." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2014. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2006~D_20140620_200050-68029.
Full textPelizzon, Loriana. "Bank portfolio management and regulatory policies." Thesis, London Business School (University of London), 2002. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.271455.
Full textDzikevičius, Audrius. "Prekybinio portfelio rizikos valdybas banke." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2006. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2006~D_20060404_135845-50706.
Full textGrundke, Peter. "Integrated market and credit portfolio models : risk measurement and computational aspects /." Wiesbaden : Gabler, 2008. http://d-nb.info/987215159/04.
Full textGarbanovas, Gintautas. "Bank value and risk's portfolio interdependence and management." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2010. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2010~D_20101221_114433-10503.
Full textGraf, Ferdinand [Verfasser]. "Essays on Portfolio- and Bank-Management / Ferdinand Graf." Konstanz : Bibliothek der Universität Konstanz, 2011. http://d-nb.info/1017933863/34.
Full textKühn, Jochen. "Optimal risk return trade-offs of commercial banks and the suitability of profitability measures for loan portfolios with 1 table." [S.l.] : [s.n.], 2006. http://dx.doi.org/10.1007/3-540-34821-2.
Full textSathitsuksanoh, Noppadon Thompson Henry L. "Recent portfolio investment and central bank policy in Thailand." Auburn, Ala, 2008. http://hdl.handle.net/10415/1504.
Full textChilds, Nicholas J. "DMA portfolio." Thesis, University of Salford, 2002. http://usir.salford.ac.uk/26614/.
Full textGarbanovas, Gintautas. "Banko vertės ir rizikų portfelio sąveika ir valdymas." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2010. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2010~D_20101221_114440-82143.
Full textMarzban, Shehab. "Strategies, paradigms and systems for Shariah-compliant portfolio management /." Aachen : Shaker, 2009. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=018642201&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.
Full textMarzban, Shehab. "Strategies, paradigms and systems for Shariah-compliant portfolio management." Aachen Shaker, 2008. http://d-nb.info/994392869/04.
Full textCerasi, Vittoria. "Banking competition and the internal organization of a commercial bank." Thesis, London School of Economics and Political Science (University of London), 1996. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.244504.
Full textMikoláš, Petr. "Segmentace klientů obchodních bank v České republice a navržení produktového portfolia pro vybraný segment z pohledu Československé obchodní banky, a. s. Poštovní spořitelny." Master's thesis, Vysoká škola ekonomická v Praze, 2007. http://www.nusl.cz/ntk/nusl-4173.
Full textBurešová, Adéla. "Poplatková politika bank v ČR." Master's thesis, Česká zemědělská univerzita v Praze, 2017. http://www.nusl.cz/ntk/nusl-261392.
Full textHeidemann, Jeffrey. "Portfolioaspekte in der dezentralen Kreditvergabeentscheidung /." Berlin : Mbv, 2007. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=016563548&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.
Full textWibowo, Pungky Purnomo. "Monetary policy transmission mechanism and bank portfolio behaviour: the case of Indonesia." Thesis, University of Birmingham, 2005. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.594814.
Full textHorchler, Martin. "Rendite-, Risikosteuerung von Immobilienportfolios in Kreditinstituten /." Frankfurt, M. : Frankfurt-School-Verl, 2009. http://d-nb.info/994533497/04.
Full textMatamba, Itani. "Estimating the cost of deposit insurance for a commercial bank following an optimal investment strategy." University of Western Cape, 2020. http://hdl.handle.net/11394/7845.
Full textGrundke, Peter. "Integrated market and credit portfolio models risk measurement and computational aspects." Wiesbaden Gabler, 2006. http://d-nb.info/987215159/04.
Full textBashtay, Nenus, and Mattias Lindqvist. "Why Buy a Structured Product from a Bank? : A combination of weighted products to outperform the market." Thesis, Högskolan i Gävle, Avdelningen för ekonomi, 2012. http://urn.kb.se/resolve?urn=urn:nbn:se:hig:diva-11705.
Full textLottenbach, Walter. "Der Anlageentscheidungsprozess im internationalen Portfolio Management : die Theorie und die Praxis der Schweizer Banken /." [St.Gallen] : [s.n.], 1995. http://aleph.unisg.ch/hsgscan/hm00148267.pdf.
Full textKhataybeh, Mohammed Abdullah. "Determining bank performance in emerging markets : the case of Jordan : competition, portfolio, and effeciciency." Thesis, University of Birmingham, 2013. http://etheses.bham.ac.uk//id/eprint/3882/.
Full textAtahau, Apriani Dorkas Rambu. "Loan portfolio structures, risk and performance of different bank ownership types: An Indonesian case." Thesis, Curtin University, 2014. http://hdl.handle.net/20.500.11937/1556.
Full textHammarin, Gabriella. "Effective Internal IT-development at Nordea Portfolio and Advisory Solutions Including Offshoring." Thesis, Uppsala universitet, Institutionen för informationsteknologi, 2012. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-181364.
Full textBramma, Keith Michael. "AN EVALUATION OF BANK CREDIT POLICIES FOR FARM LOAN PORTFOLIOS USING THE SIMULATION APPROACH." University of Sydney, Department of Agricultural Economics, 1999. http://hdl.handle.net/2123/400.
Full textReckers, Thomas. "Die Portefeuilleoptimierung im Eigenhandel von Kreditinstituten : eine Analyse ausgewählter Organisationsformen unter Berücksichtigung value-at-risk-basierter Limite /." Münster : Verl.-Haus Monsenstein und Vannerdat, 2006. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=014986074&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.
Full textMiehle, Christian. "Optimale Selektionsprozesse für true sale collateralised loan obligations." Hamburg Kovac, 2007. http://d-nb.info/988037858/04.
Full textAlbright, Kolawole. "An examination of bank use of credit derivatives to mitigate risk : an empirical analysis of its potency and impact on bank portfolio management and performance." Thesis, Bournemouth University, 2017. http://eprints.bournemouth.ac.uk/29382/.
Full textRogers, Audrey, and Evangelia Banti. "Sponsorship Portfolio : Empirical study of the decision process." Thesis, Linnéuniversitetet, Ekonomihögskolan, ELNU, 2012. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-18936.
Full textAukūnas, Justinas. "Verslo ciklo poveikis bankų rizikai." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2014. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2010~D_20140625_184908-99440.
Full textDe, Wet Albertus Hendrik. "A macroeconometric framework for credit portfolio modelling in South Africa." Thesis, University of Pretoria, 2009. http://hdl.handle.net/2263/30363.
Full textПодвишенний, В. А. "Вибір стратегії управління портфелем цінних паперів для комерційного банку". Thesis, Українська академія банківської справи Національного банку України, 2010. http://essuir.sumdu.edu.ua/handle/123456789/60728.
Full textMiehle, Christian. "Optimale Selektionsprozesse für True Sale Collateralised Loan Obligations /." Hamburg : Kovač, 2008. http://www.verlagdrkovac.de/978-3-8300-3522-0.htm.
Full textAshwood, Andrew J. "Portfolio selection using artificial intelligence." Thesis, Queensland University of Technology, 2014. https://eprints.qut.edu.au/66229/1/Andrew_Ashwood_Thesis.pdf.
Full textNarrainen, Streevarsen P. "The effects of inflation rates on Canadian chartered banks' portfolio allocation, 1960-1980 /." Thesis, McGill University, 1985. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=72765.
Full textShahin, Mahmoud. "Three essays on bank profitability, fragility, and lending." Thesis, University of Exeter, 2015. http://hdl.handle.net/10871/18675.
Full textКозирєв, Вадим Анатолійович, Вадим Анатольевич Козырев та Vadym Anatoliiovych Kozyriev. "Шляхи удосконалення управління портфельним кредитним ризиком". Thesis, Львівський інститут банківської справи Національного банку України, 2011. http://essuir.sumdu.edu.ua/handle/123456789/63376.
Full textТкаченко, Н. В. "До питання управління кредитними ризиками в банківських установах". Thesis, Українська академія банківської справи Національного банку України, 2012. http://essuir.sumdu.edu.ua/handle/123456789/63285.
Full textЛобода, Д. Л. "Актуальні питання резервування кредитного портфеля в контексті підвищення конкурентоспроможності банку". Thesis, Українська академія банківської справи Національного банку України, 2010. http://essuir.sumdu.edu.ua/handle/123456789/61007.
Full textChmura, Christine. "An Investigation of Bank Lending Practices To Test Portfolio Theory and Theories of Credit Rationing and Customer Relationships." VCU Scholars Compass, 1993. http://scholarscompass.vcu.edu/etd/4419.
Full textAngerer, Xiaohong W. "Empirical studies on risk management of investors and banks." Connect to this title online, 2004. http://rave.ohiolink.edu/etdc/view?acc%5Fnum=osu1092764216.
Full textКулеш, А. В. "Управління проблемними кредитами банку". Master's thesis, Сумський державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/76829.
Full textЛобода, Д. Л. "Актуальні питання стрес-тестування кредитного портфеля банку". Thesis, Одесса, 2010. http://essuir.sumdu.edu.ua/handle/123456789/63479.
Full textKagigi, K. A. A. "Portfolio behaviour of Islamic banks; case studies for : Pakistan, 1974-1994 and Iran, 1984-1994." Thesis, University of Birmingham, 1998. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.497565.
Full textБугель, Ю. В. "Проблеми і перспективи удосконалення процесу управління кредитним портфелем комерційних банків". Thesis, Українська академія банківської справи Національного банку України, 2006. http://essuir.sumdu.edu.ua/handle/123456789/61809.
Full textІванов, М. В. "Управління інвестиційною діяльністю банків в Україні". Thesis, Одеський національний економічний університет, 2021. http://local.lib/diploma/Ivanov3.pdf.
Full textПанченко, М. О. "Управління портфельним кредитним ризиком банку". Master's thesis, Сумський державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/75607.
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