1. 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) |
2. 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) |
3. 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) |
4. 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) |
5. 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) |
|
|