1. Analysis of drivers of inattention in consumer credit based on evidence from overdraftsŽiva Perfeta, 2021, master's thesis Keywords: banking, banking management, money, credit, behavioral finance, personal finance, management and control, research, analysis Full text (outside link) |
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3. Stress testing of Montenegrin banking system with aggregated and bank-specific dataSanja Vuković, 2013, master's thesis Keywords: Montenegro, banking systems, banking, finance, stability of systems, testing, methodology, data, aggregates, case study, analysis Full text (outside link) |
4. The financial sector in the Republic of Macedonia after the financial crisis and regulatory and supervisory measures for preserving the financial sector stabilityBojana Mijović-Hristovska, 2013, master's thesis Keywords: Makedonija, finance, krize, bančništvo, trg kapitala, zavarovalstvo, stabilnost sistemov, zakonodaja, trendi, Macedonia, finance, crises, banking, capital market, insurance, stability of systems, legislation, trends Full text (outside link) |
5. Determinants of bank performance in selected CEE countriesVlora Hetemi, 2016, master's thesis Keywords: Bulgaria, Croatia, The Czech Republic, Hungary, Rumania, Slovakia, Slovenia, banking systems, banking, banks, banking management, business efficiency, gross domestic product, inflation, public debt, international comparisons Full text (outside link) |
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7. The impact of quantitative easing on bank lendingVesna Nuždić, 2017, master's thesis Keywords: EU, EMU, monetary policy, crises, banking, credit, research, evaluation, analysis Full text (outside link) |
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9. Vodenje v izbrani banki v času ekonomske krizeIvan Razpotnik, 2014, master's thesis Keywords: banking, banks, banking management, manager, leadership, types, crises, changes, case study Full text (outside link) |
10. Measuring systemic risk in bankingNiko Čičak, 2015, master's thesis Keywords: EU, EMU, finance, centralne banke, regulacija, tveganje, bančništvo, obvladovanje tveganj, modeli, EU, EMU, finance, central banks, regulation, risk, banking, risk management, models Full text (outside link) |