11. The importance and the regulation of the counterparty riskAndreja Krč Grčar, 2016, master's thesis Keywords: financial market, capital market, institutions, financial instruments, risk management, derivatives, credit, credit rating, reliability, regulation Full text (outside link) |
12. The low volatility effect on stock market returns - a market anomaly or a risk factor?Laura Godler Čoh, 2016, master's thesis Keywords: capital market, stock exchange, trading, shares, price, changes, yield, models, research, analysis Full text (outside link) |
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14. Does liquidity risk explain the excess returns of the minimum volatility investing strategy?Goran Obradović, 2016, master's thesis Keywords: capital market, investments, risk management, portfolio, evaluation, liquidity, yield, data, analysis Full text (outside link) |
15. Increasing indebtedness of Slovenian companies as a result of ownership transformationMiha Dominko, 2015, master's thesis Keywords: Slovenia, finance, crises, enterprises, ownership, indebtedness, capital, research, analysis Full text (outside link) |
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20. Evolution of transfers across different age groups in SloveniaTanja Istenič, 2014, master's thesis Keywords: Slovenia, population, demography, ageing, youth, capital transfer, education, health services, public consumption, data, analysis Full text (outside link) |