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risk management
Publication
Class
Person
Publication
Programmes
publication
Three essays on financial stability and risk management
Publication without faculty affiliation
publication
Risk management of building societies in the Czech Republic
2013 |
Publication without faculty affiliation
publication
Risk management
2009 |
First Faculty of Medicine
publication
Banking in theory and practice
2014 |
Faculty of Mathematics and Physics
publication
Mathematics and Risk Management 2009/10
2010 |
Faculty of Mathematics and Physics
publication
Key operational risk management techniques
+1
2010 |
Faculty of Social Sciences
publication
Opportunities and threats in microfinance risk management
2013 |
Publication without faculty affiliation
publication
Alternative methods to operational risk management
+1
2010 |
Faculty of Social Sciences
publication
The theoretical background of operational risk management
2010 |
Faculty of Social Sciences
publication
Serious About Getting Old?: Variability of Individual Old Age Risk Management in Czechia
2023 |
Faculty of Social Sciences
publication
Black swans and operational risk management
2010 |
Faculty of Social Sciences
publication
Opportunities in microfinance risk management
Publication without faculty affiliation
publication
Exit strategies from the global crisis
2010 |
Publication without faculty affiliation
publication
Quality and risk management of psychiatric care
2020 |
Third Faculty of Medicine
publication
Credit risk management during the 2007-2009 global crisis
2010 |
Faculty of Social Sciences
publication
Risk management of savings accounts
Publication without faculty affiliation
publication
Operational risk management-stress testing and scenario analysis
2010 |
Faculty of Social Sciences
publication
An overview of risk management, the value-at-risk approach, and notes on operational risk
2010 |
Publication without faculty affiliation
publication
Economic capital and risk management
2012 |
Faculty of Social Sciences, Faculty of Mathematics and Physics
publication
Collateralized debt obligations and credit risk management
2010 |
Faculty of Social Sciences
publication
The Application of Extreme Value Theory in Operational Risk Management
2012 |
Publication without faculty affiliation
publication
Credit risk management lessons from Czech banks for the Chinese banking sector
2010 |
Faculty of Social Sciences
publication
Modelling dependence in risk management
2003 |
Faculty of Mathematics and Physics
publication
Risk Management and Financial Engineering
2004 |
Faculty of Mathematics and Physics
publication
3rd International e-Conference on Optimization, Education and Data Mining in Science, Engineering and Risk Management 2013/14 (OEDM SERM 2013/2014)
Publication without faculty affiliation
publication
A comparison of selected value-at-risk models using risk management techniques for determinig model accuracy
2010 |
Faculty of Social Sciences
publication
New trends in regulatoty credit risk management
2004 |
Faculty of Mathematics and Physics
publication
Integrated Risk Management of Bond Portfolios
2004 |
Faculty of Social Sciences