1. Vpliv managementa poslovnih procesov na poslovanje organizacijeAleš Daneu, 2006, master's thesis Keywords: podjetje, poslovni proces, management, case study, Kapitalska družba, Telekom Slovenije, Bernstein AG, Credit Suisse, Sagitta 200, CREA Full text (outside link) |
2. 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) |
3. 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) |
4. An analysis of the usefulness of the naïve probability of default measure during the period of global financial crisisJanko Gregorka Slana, 2016, master's thesis Keywords: crises, recessions, credit, debts, risk, risk management, economic forecasting, calculations, models, research, analysis Full text (outside link) |
5. 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) |
6. On the information content of sovereign credit rating reportsUrsula Slapnik, Igor Lončarski, 2021, original scientific article Keywords: financial market, financial instruments, investments, price policy, models, sovereign credit rating reports, rating transitions, textual sentiment analysis, subjectivity, predictability, rating philosophy Full text (file, 371,03 KB) This document has more files! More... |
7. Predicting borrower's default by financial and non-financial indicators in discriminant analysis functionKatja Žgur, 2015, master's thesis Keywords: poslovne finance, financiranje, kreditna sposobnost, ocene, stečaj, ekonomska predvidevanja, indikatorji, modeli, business finance, financing, credit rating, evaluation, bankruptcy, economic forecasting, indicators, models Full text (outside link) |
8. Risk management and credit risk modeling within EMS frameworkPrimož Kunej, 2015, master's thesis Keywords: tveganje, obvladovanje tveganj, krediti, izvedeni finančni instrumenti, finančna analiza, modeli, poročila, risk, risk management, credit, derivatives, financial analysis, models, reports Full text (outside link) |
9. Credit risk and the business cycleMatjaž Volk, 2016, doctoral dissertation Keywords: banking, regulation, credit, risk, risk management, business cycles, models, reliability, credit rating Full text (outside link) |
10. Bančna tveganja in obvladovanje velikih kreditnih izpostavljenostiIda Cerkvenik, 2016, undergraduate thesis Keywords: banking, banking management, risk management, credit, capital, standards, insurance, guarantee, bančništvo, bančno poslovanje, obvladovanje tveganj, krediti, kapital, standardi, zavarovalstvo, jamstvo Full text (outside link) |