71. 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) |
72. Analysis of heterogeneity in the EMU using dynamic factor modelsMarko Glažar, 2016, doctoral dissertation Keywords: EU, EMU, euro, gospodarska gibanja, cikli, predelovalna industrija, produkcija, dinamični modeli, cena, inflacija, mednarodne primerjave, analiza, EU, EMU, euro, economic flows, business cycles, processing industry, production, dynamic models, price, inflation, international comparisons, analysis Full text (outside link) |
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77. Practical aspects of developing and validating corporate probability of default model and the use of machine learningAljoša Ortl, 2016, master's thesis Keywords: risk, probability, models, development, qualitative analysis, quantitative analysis, regression analysis, research, analysis Full text (outside link) |
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80. Cenovna konkurenčnost v Evropski monetarni unijiKarmen Madjar, 2015, undergraduate thesis Keywords: finančna matematika, cenovna konkurenčnost, realni efektivni devizni tečaj, reforme, indeksi konkurenčnosti, indeks globalne konkurenčnosti, indeks enostavnega poslovanja Full text (file, 1,91 MB) |