Ordenar por: Autor | Título | Año |
| 7 |
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Libro |
2025 FRM Exam prep : Schweser Notes for the FRM Exam Part II
La Crosse : Kaplan Schweser, 2025. |
Fondos |
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| 8 |
|
Libro |
2025 FRM Exam prep : Schweser Notes for the FRM Exam Part I
La Crosse : Kaplan Schweser, 2025. |
Fondos |
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| 9 |
|
Artículo |
A new estimation of default probabilities based on non-performing loans [Recurso electrónico] / Roberto Blanco, Elena Fernández Ortiz, Miguel García-Posada, Sergio Mayordomo.
Blanco, Roberto
En: Finance Research Letters [Artículos], v. 62, Part B, April 2024, 105149
https://doi.org/10.1016/j.frl.2024.105149
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| 10 | 0521241642 | Libro |
Acceptable risk / Baruch Fischhoff ... [et al.].
Fischhoff, Baruch (1946- )
Cambridge (Inglaterra) : Cambridge University Press, 1981.
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Fondos |
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| 11 |
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Artículo |
Accounting and auditing of credit loss estimates [Recurso electrónico] : the hard and the soft / Pablo Pérez Rodríguez.
Pérez Rodríguez, Pablo
En: Latin American Journal of Central Banking [Artículos], v. 2, n. 2, June 2021, 100027
https://doi.org/10.1016/j.latcb.2021.100027
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| 12 | 9780470825914 | Libro |
Accounting for investments / R. Venkata Subramani.
Subramani, R. Venkata
Singapore : Wiley, 2009-2011.
|
Fondos |
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| 13 | 088165079X | Libro |
Accounting for losses on sovereign debt : implications for new lending / Jack M. Guttentag and Richard Herring.
Guttentag, Jack M. (1923- )
Princeton, NJ : Princeton University, 1989.
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Fondos |
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| 14 | 0859413896 | Libro |
Accounting for treasury products : a practical guide to accounting, tax and risk control / John I. Tiner and Joe M. Conneely.
Tiner, John I.
Cambridge : Woodhead-Faulkner, 1987.
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Fondos |
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| 15 |
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Artículo |
Activos comprometidos en operaciones de financiación garantizada en el sector bancario español [Recurso electrónico] / Esther Cáceres y Jorge San Vicente.
Cáceres, Esther
En: Revista de Estabilidad Financiera / Banco de España [Artículos], n. 47, otoño 2024, p. 32-49
https://repositorio.bde.es/handle/123456789/38296
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| 16 |
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Artículo |
Activos financieros en el exterior e indicadores de riesgo / Raquel Lago, Jesús Saurina.
Lago-González, Raquel
En: Estabilidad Financiera / Banco de España [Artículos], n. 7, nov 2004, p. 113-126
https://repositorio.bde.es/handle/123456789/23042
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| 17 | 9780231153669 | Libro |
Acts of god and man : ruminations of risk and insurance / Michael R. Powers.
Powers, Michael R.
New York : Columbia Business School, 2012.
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Fondos |
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| 18 |
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Artículo |
Actualizacion Nuevo Acuerdo de Capital de Basilea / Comite de Supervision Bancaria de Basilea
BPI. Comité de Supervisión Bancaria de Basilea
En: Perspectivas del sistema financiero [Artículos], n. 72, 2001, p. 241-241
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| 19 |
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Libro |
Adapting to Basel III and IV [Recurso electrónico] : re-engineering capital, business mix, and performance management practices post-crisis / Bogie Ozdemir.
Ozdemir, Bogie
London : Risk, 2017.
https://www.risk.net/adapting-to-basel-iii-and-iv
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| 20 | 978-1-78272-000-3 | Libro |
Adapting to Basel III and the financial crisis : re-engineering capital, business mix, and performance management practices / Peter Miu and Bogie Ozdemir.
Miu, Peter
London : Risk, cop. 2012.
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Fondos |
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| 21 | 9780470179215 | Libro |
Advanced analytical models : Mun, Johnathan.Advanced analytical models / Johnathan Mun.
Mun, Johnathan
Hoboken, N.J. : Johm Wiley & Sons, 2008.
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Fondos |
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| 22 | 978-11-18604-91-5 | Libro |
Advanced credit risk : analysis and management / Ciby Joseph.
Joseph, Ciby
Chichester : Wiley, 2013.
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Fondos |
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| 23 | 9781904339885 | Libro |
The advanced measurement approach to operational risk / edited by Ellen Davis.
Davis, Ellen (ed. lit.)
London : Risk, 2006.
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Fondos |
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| 24 | 9978-981-13-1696-8 (En línea) | Libro |
Advances in finance & applied economics [Recurso electrónico] / edited by N.R. Bhanumurthy, K. Shanmugan, Shriram Nerlekar, Sandeep Hegade.
Bhanumurthy, N.R. (ed.)
Singapore : Springer Singapore Imprint: Springer, 2018.
https://doi.org/10.1007/978-981-13-1696-8
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| 25 | 978-1-118-90953-9 | Libro |
Advances in heavy tailed risk modeling : a handbook of operational risk / Gareth W. Peters, Pavel V. Shevchenko.
Peters, Gareth W.
Hoboken, New Jersey : Wiley, cop. 2015.
|
Fondos |
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| 26 | 1904339166 | Libro |
Advances in operational risk : firm-wide issues for financial institutions / [Simon Ashby ..., [et al.]].
Ashby, Simon
London : Risk Books, 2003.
|
Fondos |
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| 27 | 1899332839 | Libro |
Advances in operational risk : firm-wide issues for financial institutions
London : Risk Books, 2001 |
Fondos |
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| 28 |
|
Libro |
Agency incentives and reputational distortions : a comparison of the effectiveness of value-at-risk and pre-commitment in regulating market risk / Arupratan Daripa and Simone Varotto
Daripa, Arupratan
London : Bank of England, 1997
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Fondos |
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| 29 |
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Libro |
Agency problems and risk taking at banks / Rebecca S. Demsetz, Marc R. Saidenberg, Philip E. Strahan
Demsetz, Rebecca
New York : Federal Reserve Bank, 1997
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Fondos |
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| 30 |
|
Libro |
Agency problems and risk taking at banks / Rebecca S. Demsetz, Marc R. Saidenberg, and Philip E. Strahan
Demsetz, Rebecca
New York : Federal Reserve Bank, 1997
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Fondos |
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| 31 |
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Artículo |
Algunos aspectos sobre el análisis empírico de "credit scoring" / por Mercedes Gracia-Diez y Gregorio R. Serrano
Gracia-Díez, Mercedes
En: Estadística española [Artículos], v. 34, n. 130, may-ago 1992, p. 261-283
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