The Eurozone crisis : conditions and effects of risk management
Year of publication: |
2013
|
---|---|
Authors: | Genov, Nikolai |
Published in: |
Megatrend revija. - Beograd : [Verlag nicht ermittelbar], ISSN 1820-3159, ZDB-ID 2710067-4. - Vol. 10.2013, 4, p. 141-162
|
Subject: | sovereign debt crisis | risk concept | risk management | Risikomanagement | Risk management | Eurozone | Euro area | Schuldenkrise | Debt crisis | Öffentliche Schulden | Public debt | Finanzkrise | Financial crisis | EU-Staaten | EU countries |
-
Sovereign risk and financial crisis : the international political economy of the eurozone
Pepino, Silvia, (2015)
-
Managing FX risk during the Euro crisis
Makar, Stephen D., (2012)
-
Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks?
Gehrig, Thomas, (2018)
- More ...
-
Genov, Nikolaj, (1997)
-
Genov, Nikolaj, (2006)
-
Global trends and regional development
Genov, Nikolaj, (2012)
- More ...