Výsledky vyhľadávania
Názov Riziko vo financiách a v bankovníctve Aut.údaje Rudolf Sivák, Ľubomíra gertler a kolektív Autor Sivák Rudolf
Spoluautori Gertler Ľubomíra
Vyd.údaje Bratislava : Sprint 2 , 2018. - 485 s. : gr., tab., vzorce, 22 cm Vydanie 5. vyd. Edícia Economics ISBN 978-80-89710-45-4 Poznámka Bibliografia s. 477-485. Bibliografické odkazy Kľúč.slová finančné riziká riziko - risk bankovníctvo - banking kapitálové trhy - capital market financial risks Form.deskr. učebnice vysokých škôl - textbooks (higher) Jazyk dok. slovenčina Krajina Slovenská republika Systematika 336.7:330.131.7 336.71 336.76 Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xkni - KNIHY Počet ex. 1, z toho voľných 0, prezenčne 1 Signatúra Lokácia Dislokácia Umiestnenie Info 371419 Univerzita Mateja Bela EF Katedra financií a účtovníctva len prezenčne Názov Period and threshold rebalancing ob blended big-cap growth and big-cap value portfolios Aut.údaje Martin Boďa, Mária Kanderová Autor Boďa Martin 1984- (50%) UMBEF05 - Katedra kvantitatívnych metód a informačných systémov
Spoluautori Kanderová Mária 1965- (50%) UMBEF05 - Katedra kvantitatívnych metód a informačných systémov
Zdroj.dok. Managing and modelling of financial risks : 9th international scientific conference, 05.-06.09.2018, Ostrava : proceedings. S. 28-35. - Ostrava : VŠB - Technical University of Ostrava, 2018 / Čulík Miroslav ; Dluhošová Dana ; Gurný Petr ; Kresta Aleš ; Kulhánek Lumír 1955- ; Ortobelli Lozza Sergio ; Macháček Martin ; Novotná Martina ; Svoboda Martin ; Tichý Tomáš ; Valecký Jiří ; Zmeškal Zdeněk ; Managing and modelling of financial risks medzinárodná vedecká konferencia Kľúč.slová periodic rebalancing stocks investment style performance financial risks planning and managing of projects Form.deskr. príspevky v zborníku - proceedings papers Jazyk dok. angličtina Krajina Česká republika Systematika 33 Kategória publikačnej činnosti AFC Číslo archívnej kópie 44629 Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xpca - PUBLIKAČNÁ ČINNOSŤ Názov Can we determine debt to equity levels in non-profit organisations? Answer based on Polish case Súbež.n. Úroveň zadlženosti poľských neziskových organizácií Aut.údaje Grzegorz Michalski ... [et al.] Autor Michalski Grzegorz (70%)
Spoluautori Blendinger Guenter (5%)
Rozsa Zoltan (5%)
Cierniak-Emerych Anna (5%)
Murray Svidroňová Mária 1985- (5%) UMBEF15 - Katedra verejnej ekonomiky a regionálneho rozvoja
Buleca Ján (5%)
Bulsara Hemantkumar (5%)
Zdroj.dok. Inžinerinė ekonomika. Vol. 29, no. 5 (2018), pp. 526-535. - Kaunas : Kauno technologijos universitetas, 2018 Kľúč.slová equity foreign capital neziskové organizácie - nonprofit organizations efficiency financial risks Heslá geogr. Poľská republika Form.deskr. články - journal articles Jazyk dok. angličtina Krajina Litva Systematika 339.7/.9 Anotácia The goal of the article is to find the answer whether it is possible to propose a model for fixing the best debt levels in the capital structure of non-profit organisations. Capital structure is an indicator that corroborates the level of financial risk. Non-profit organisations are an essential part of the general social policy. When considering the efficiency of non-profit entities from a donor perspective, it is important to take into account the way management uses the resources of a non-profit organisation as well as efficiency of that management activity. Non-profit organisation efficiency should be considered in the context of risk. One of the most important ways to increase probability to face financial distress is too high debt to equity relation. The paper illustrates the relationship between debt and equity in 1,560 Polish non-profit entities. The model which can fix optimal capital structure for a non-profit organisation in its current environment was delivered. The proposa URL Link na plný text Kategória publikačnej činnosti ADM Číslo archívnej kópie 44749 Kategória ohlasu KARPÁČ, Dušan - BARTOŠOVÁ, Viera. Benchmarking of cultural infrastructure of selected self-governing regions of the Slovak Republic. In The European proceedings of social and behavioural sciences EPSBS (ISMC 2019) : 15th international strategic management conference, Poznań, 27th-29th June 2019. ISSN 2357-1330, 2019, vol. 71, no. 25, pp. 279-287.
ZHANG, Hongrun - LIAO, Huchang - WU, Xingli - ZAVADSKAS, Edmundas Kazimieras - AL-BARAKATI, Abdullah. Internet financial investment product selection with Pythagorean fuzzy DNMA method. In Engineering economics. ISSN 1392-2785, 2020, vol. 31, no. 1, pp. 61-71.
REBETAK, Filip - KARPAC, Dusan - BARTOSOVA, Viera. An in depth analysis of foundations in Slovakia. In 33rd international business information - management association (IBIMA) conference : education excellence and innovation management through Vision 2020, Granada, 10th-11th April 2019. Norristown : IBIMA - International business information management association, 2019. ISBN 978-0-9998551-2-6, pp. 7994-8003.
MAZANEC, Jaroslav - BARTOSOVA, Viera. Financial vulnerability of non-profit organizations in the Slovak Republic. In 33rd international business information - management association (IBIMA) conference : education excellence and innovation management through Vision 2020, Granada, 10th-11th April 2019. Norristown : IBIMA - International business information management association, 2019. ISBN 978-0-9998551-2-6, pp. 1051-1066.
KOLLAR, Boris - ADAMKO, Peter. Possible use of credit risk tools for bankruptcy prediction under the conditions of small economies. In 33rd international business information - management association (IBIMA) conference : education excellence and innovation management through Vision 2020, Granada, 10th-11th April 2019. Norristown : IBIMA - International business information management association, 2019. ISBN 978-0-9998551-2-6, pp. 9100-9109.
SUTOMO, Sutomo - WAHYUDI, Sugeng - PANGESTUTI, Irene Rini Demi - MUHARAM, Harjum. The determinants of capital structure in coal mining industry on the Indonesia stock exchange. In Investment management and financial innovations. ISSN 1810-4967, 2020, vol. 17, no. 1, pp. 165-174.
ISLAM, Md Rashidul - WANG, Man - ZULFIQAR, Muhammad - GHAFOOR, Sadeen - BIKANYI, Kuyon Joseph. Does earnings quality instigate financial flexibility? New evidence from emerging economy. In Ekonomska istraživanja. ISSN 1331-677X, 2020, vol. 33, no. 1, pp. 1647-1666.
STEFKO, Róbert - GAVUROVÁ, Beáta - IVANKOVÁ, Viera - RIGELSKÝ, Martin. Gender inequalities in health and their effect on the economic prosperity represented by the GDP of selected developed countries - empirical study. In International journal of environmental research and public health. ISSN 1661-7827, 2020, vol. 17, no. 10, pp. 1-26.
DEL BRÍO, Jesús - BOLAÑOS, Edmundo Lizarzaburu. Effects of CSR and CR on business confidence in an emerging country. In Sustainability. ISSN 2071-1050, 2020, vol. 12, no. 12, pp. 1-17.
AKHMADI, Akhmadi - YUNIA, Dabela - ROBIYANTO, Robiyanto. The role of profitability in the effect of company growth on the debt policy. In International journal of financial research. ISSN 1923-4023, 2020, vol. 11, no. 4, pp. 267-274.
HALÁSKOVÁ, Martina - GAVUROVÁ, Beáta - KOČIŠOVÁ, Kristína. Research and development efficiency in public and private sectors : an empirical analysis of EU countries by using DEA methodology. In Sustainability. ISSN 2071-1050, 2020, vol. 12, no. 17, pp. 1-22.
SALVIONI, Daniela M. - ALMICI, Alex. Transitioning toward a circular economy : the impact of stakeholder engagement on sustainability culture. In Sustainability. ISSN 2071-1050, 2020, vol. 12, no. 20, pp. 1-30.
BOLBOCEAN, Corneliu - SHEVELL, Michael. The impact of high intensity care around birth on long-term neurodevelopmental outcomes. In Health economics review. ISSN 2191-1991, 2020, vol. 10, no. 1, pp. 1-12.
FIALA, Petr - HOLMEROVA, Iva - RUDA, Tomas - STEFFL, Michal. Financial balance of home nursing care providers in the Czech Republic. In Health economics review. ISSN 2191-1991, 2021, vol. 11, no. 1, pp. 1-7.
NI, Weiyi - KUNZ, Wolfgang G. - GOYAL, Mayank - CHEN, Lijin - JIANG, Yawen. Quality of life and cost consequence of delays in endovascular treatment for acute ischemic stroke in China. In Health economics review. ISSN 2191-1991, 2022, vol. 12, no. 1, pp. 1-8.
WANIAK-MICHALAK, Halina - LEITONIENE, Sviesa - PERICA, Ivana. The NGOs and Covid 19 pandemic : a new challenge for charitable giving and NGOs' mission models. In Inžinerinė ekonomika. ISSN 1392-2785, 2022, vol. 33, no. 2, pp. 174-187.
VALÁŠKOVÁ, Katarína. Financing principles of non-profit organisations : a case of Slovakia. In Global journal of business, economics and management [online]. 2019, vol. 9, no. 2, pp. 55-62 [cit. 2023-03-10]. ISSN 2301-2579. Dostupné na: https://doi.org/10.18844/gjbem.v9i2.4230
GAJDOSIKOVA, Dominika - VALASKOVA, Katarina - KLIESTIK, Tomas - KOVACOVA, Maria. Research on corporate indebtedness determinants : a case study of visegrad group countries. In Mathematics. ISSN 2227-7390, 2023, vol. 11, no. 2, pp. 1-30.
ADRO, Francisco do - FERNANDES, Cristina. Social entrepreneurship and social innovation : looking inside the box and moving out of it. In Innovation : the European journal of social science research. ISSN 1351-1610, 2022, vol. 35, no. 4, pp. 704-730.
MARTINHO, Vitor Joao Pereira Domingues. Bibliometric analysis for working capital : identifying gaps, co-authorships and insights from a literature survey. In International journal of financial studies. ISSN 2227-7072, 2021, vol. 9, no. 4, pp. 1-20.
LUKAC, Michal - STACHOVA, Katarina - STACHO, Zdenko - PAJTINKOVA BARTAKOVA, Gabriela - GUBINIOVA, Katarina. Potential of marketing communication as a sustainability tool in the context of castle museums. In Sustainability. ISSN 2071-1050, 2021, vol. 13, no. 15, pp. 1-16.
XIA, Haiyang - FAN, Tijun - LOU, Gaoxiang. Environmental certification in a differentiated duopoly. In Ekonomska istraživanja. ISSN 1331-677X, 2021, vol. 34, no. 1, pp. 650-669.
TOFAN, Mihaela - ONOFREI, Mihaela - VATAMANU, Anca-Florentina. Fiscal responsibility legal framework-new paradigm for fiscal discipline in the EU. In Risks. ISSN 2227-9091, 2020, vol. 8, no. 3, pp. 1-18.
AB SAMAD, Nur Hayati - AHMAD, Noor Hazlina. Addressing resource constraint issues : unpacking the strategies for sustainability of nonprofit organisations. In Asia-Pacific management accounting journal. ISSN 1675-3194, 2022, vol. 17, no. 1, pp. 37-63.
TIBILETTI, Luisa. One-size risk-adjusted discount rate does not fit all risky projects. In Journal of risk finance. ISSN 1526-5943, 2022, vol. 23, no. 3, pp. 289-302.
SARAGIH, Reza Maulana - MULATSIH, Sri - JUANDA, Bambang. Financial performance affecting company compliance in membership of BPJS Ketenagakerjaan. In International journal of social science and business [online]. 2023, vol. 7, no. 1, pp. 216-223 [cit. 2023-05-24]. ISSN 2549-6409. Dostupné na: https://doi.org/10.23887/ijssb.v7i1.52793
AB SAMAD, Nur Hayati - AHMAD, Noor Hazlina - SURIA, Khadijah. Sustainability of non-profit organizations: a systematic review. In Accounting and finance research [online]. 2023, vol. 12, no. 2, pp. 25-38 [cit. 2023-09-05]. ISSN 1927-5994. Dostupné na: https://doi.org/10.5430/afr.v12n2p25
KÖSE, Eda. The impact of firm growth and profitability on debt policy. In Mehmet akif ersoy Üniversitesi uygulamalı bilimler dergisi [online]. 2023, vol. 7, no. 2, pp. 149-162 [cit. 2023-12-20]. ISSN 2602-425X. Dostupné na: https://doi.org/10.31200/makuubd.1300990
Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xpca - PUBLIKAČNÁ ČINNOSŤ Odkazy PERIODIKÁ-Súborný záznam periodika Názov Riziko ve financích a pojišťovnictví Podnázov Basel III a Solvency II Aut.údaje Tomáš Cipra Autor Cipra Tomáš 1952-
Vyd.údaje Praha : Ekopress , 2015. - 515 s. : gr., obr., sch., tab., 25 cm Vydanie 1. vyd. ISBN 978-80-87865-24-8 Poznámka Bibliografia s. 481-493. Register Kľúč.slová poistné riziká finančné riziká riziková analýza insurance risk financial risks risk analysis Jazyk dok. čeština Krajina Česká republika Systematika 336.7:330.131.7 519.248 368.025.6 Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xkni - KNIHY Počet ex. 1, z toho voľných 0, prezenčne 1 Signatúra Lokácia Dislokácia Umiestnenie Info 360890 Univerzita Mateja Bela UK Ekonomická študovňa len prezenčne Názov Teória rizika v poistení Aut.údaje Galina Horáková, Michal Páleš, František Sianinka Autor Horáková Galina
Spoluautori Páleš Michal
Sianinka František
Vyd.údaje Bratislava : Wolters Kluwer , 2015. - 420 s. : gr., tab., 25 cm Vydanie 1. vyd. Edícia Ekonómia , 570 ISBN 978-80-8168-273-5 Poznámka Bibliografia s. 410-415. Register Kľúč.slová poisťovníctvo - insurance poistná matematika - actuarial mathematics finančné riziká financial risks Form.deskr. učebnice vysokých škôl - textbooks (higher) Jazyk dok. slovenčina Krajina Slovenská republika Systematika 368 368:51-7 336.7:330.131.7 (075.8) Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xkni - KNIHY Počet ex. 2, z toho voľných 1, prezenčne 1 Signatúra Lokácia Dislokácia Umiestnenie Info 362849 Univerzita Mateja Bela UK Referát absenčných výpožičiek 372302 Univerzita Mateja Bela UK Ekonomická študovňa len prezenčne Názov Comparison of nonparametric methods for estimating the level of risk in finance Aut.údaje Katarína Frajtová-Michalíková, Tomáš Klieštik, Hussam Musa Autor Frajtová-Michalíková Katarína (34%)
Spoluautori Klieštik Tomáš (33%)
Musa Hussam 1968- (33%) UMBEF04 - Katedra financií a účtovníctva
Zdroj.dok. Procedia economics and finance : international conference on applied economics (ICOAE) 2015, 2-4 July 2015, Kazan, Russia. online, vol. 24 (2015), pp. 228-236. - Amsterdam : Elsevier B.V., 2015 ; Procedia Economics and Finance International conference on applied economics (ICOAE) Kľúč.slová neparametrické metódy finančné riziká finančný úpadok nonparametric methods financial risks finančníci - financiers Jazyk dok. angličtina Krajina Holandsko Systematika 336 Kategória publikačnej činnosti AFC Číslo archívnej kópie 34301 Kategória ohlasu XU, Lei - TANG, Shiyun. Technology innovation-oriented complex product systems R&D investment and financing risk management: an integrated review. In Advances in intelligent systems and computing. ISSN 2194-5357, 2016, vol. 502, pp. 1653-1663.
SIEKELOVÁ, Anna. Using rating for credit risk measurement. In New trends in finance and accounting : Springer proceedings in business and economics : 17th annual conference on finance and accounting, Prague, 27th May 2016. Cham : Springer international publishing AG, 2017. ISBN 978-3-319-49559-0, pp. 689-697.
WEISSOVA, Ivana - GREGOVA, Elena. The role of selected variables in the issue of credit risk of company. In International conference on information and business management ISSGBM-IB 2016, Hong Kong, 03th-04th September 2016. Singapore : Singapore management & sports science institute, 2016. ISBN 978-981-099757-1, pp. 60-66.
SPUCHLAKOVA, Erika - MISANKOVA, Maria. Risk management of credit default swap. In New trends and issues proceedings on humanities and social sciences [online]. 2017, vol. 3, no. 4, pp. [1][cit. 2017-04-11]. ISSN 2421-8030. Dostupné na: http://sproc.org/ojs/index.php/pntsbs/article/view/1573
ZVARIKOVÁ, Katarína - SPUCHLAKOVÁ, Erika - SOPKOVÁ, Gabriela. International comparison of the relevant variables in the chosen bankruptcy models used in the risk management. In Oeconomia Copernicana. ISSN 2083-1277, 2017, vol. 8, no. 1, pp. 143-155.
VALASKOVÁ, Katarína - SIEKELOVÁ, Anna - WEISSOVÁ, Ivana. Credit risk measurement using VaR methodology. In Advances in applied economic research. ISSN 2198-7246, 2017, pp. 289-302.
SIEKELOVÁ, Anna - PODHORSKÁ, Ivana - VALASKOVÁ, Katarina. Interdependence between indicators used for identifying impending bankruptcy and selected indicators. In Contributions to economics. ISSN 1431-1933, 2017, pp. 125-134.
WEISSOVÁ, Ivana - SIEKELOVÁ, Anna - VALÁŠKOVÁ, Katarína. Meaning of the market value company in the area of credit risk estimation. In EBEEC 2016 : 8th international conference "The Economies of Balkan and Eastern Europe Countries in the Changed World", Split, 6th - 8th May 2016. Split : University of Split, 2016. ISBN 978-960-363-065-4, pp. 152-157.
MAZANEC, Jaroslav - BIELIKOVÁ, Alžbeta. The application of nonparametric methods in nonprofit sector. In Advances in panel data analysis in applied economic research : international conference on applied economics. Cham : Springer international publishing, 2017. ISBN 978-3-319-70054-0, pp. 269-282.
MACHOVÁ, Veronika - VRBKA, Jaromír. Value generators for businesses in agriculture. In 12th international days of statistics and economics, Prague, 06th-08th September 2018. Praha : Melandrium, 2018. ISBN 978-80-87990-14-8, pp. 1123-1132.
CHUTKA, Ján - ĎURANA, Pavol. Usage of value at risk model to measure the risk of trading positions in the trading process. In 33rd international business information management association conference : education excellence and innovation management through vision 2020, Granada, 10th - 11th April 2019. [S.l.] : International business information management association, 2019. ISBN 978-099985512-6, pp. 8047-8053.
MAZANEC, Jaroslav - BIELIKOVA, Alzbeta. Evaluation of efficiency on principle of data envelopment analysis as a part of personnel management. In Finance and performance of firms in science, education and practice : 8th international scientific conference, Zlín, 26th-27th April 2017. Zlín : Tomáš Baťa University in Zlín, 2017. ISBN 978-80-7454-653-2, pp. 639-652.
MISANKOVA, Maria - SPUCHLAKOVA, Erika. Application of conditional value at risk for credit risk optimization. In New trends and issues proceedings on humanities and social sciences : 05th world conference on business, economics and management (BEM-2016), Antalya, 12th-14th May 2016. ISSN 2547-8818, 2017, pp. 146-152.
GONDZAROVA, Barbora - BAROSOVA, Viera. Selected methods of business diagnostics for managerial practice. In Managing and modelling of financial risks : 08th international scientific conference, Ostrava, 05th-06th September 2016. ISSN 2464-6970, 2016, pp. 235-241.
MORAVČÍKOVÁ, Dominika - KRIŽANOVÁ, Anna - KLIEŠTIKOVÁ, Jana - KOVÁČOVÁ, Mária. System of evaluation of effectiveness of communication tools in Slovak hotels with the possibility of optimization of marketing communication strategy. In Recent advances in information technology, tourism, economics, management and agriculture : second international scientific conference, ITEMA 2018, Graz, 08th November 2018. Belgrade : Association of economists and managers of the Balkans, 2018. ISBN 978-86-80194-13-4, pp. 212-220.
Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xpca - PUBLIKAČNÁ ČINNOSŤ Odkazy (1) - PUBLIKAČNÁ ČINNOSŤ Názov Parametric methods for estimating the level of risk in finance Aut.údaje Tomáš Klieštik, Hussam Musa, Katarína Frajtová-Michalíková Autor Klieštik Tomáš (34%)
Spoluautori Musa Hussam 1968- (33%) UMBEF04 - Katedra financií a účtovníctva
Frajtová-Michalíková Katarína (33%)
Zdroj.dok. Procedia economics and finance : international conference on applied economics (ICOAE) 2015, 2-4 July 2015, Kazan, Russia. online, vol. 24 (2015), pp. 322-330. - Amsterdam : Elsevier B.V., 2015 ; Procedia Economics and Finance International conference on applied economics (ICOAE) Kľúč.slová parametrické metódy finančné riziká bankovníctvo - banking parametric methods financial risks Jazyk dok. angličtina Krajina Holandsko Systematika 336.7 Kategória publikačnej činnosti AFC Číslo archívnej kópie 34300 Kategória ohlasu SEDLIAČIKOVÁ, Mariana - HAJDÚCHOVÁ, Iveta - KRIŠTOFÍK, Peter - VISZLAI, Igor - GAFF, Milan. Improving the performance of small and medium wood-processing enterprises. In BioResources. ISSN 1930-2126, 2016, vol. 11, no. 1, pp. 439-450.
FALETAR, Josip - JELAČIĆ, Denis - SEDLIAČIKOVÁ, Mariana et al. Motivating employees in a wood processing company before and after restructuring. In BioResources. ISSN 1930-2126, 2016, vol. 11, no. 1, pp. 2504-2515.
SEDLIAČIKOVÁ, Mariana - KLEMENTOVÁ, Jarmila - MALÁ, Denisa. How to measure and evaluate the performance of processes in quality management in conditions of globalization: an empirical study and proposal of a model. In Globalization and its socio-economic consequences : proceedings of 15th international scientific conference, Rajecké Teplice, 7th - 8th October 2015. Žilina : University of Žilina, 2015. ISBN 978-80-8154-145-2, pp. 653-660.
XU, Lei - TANG, Shiyun. Technology innovation-oriented complex product systems R&D investment and financing risk management : an integrated review. In Advances in intelligent systems and computing. ISSN 2194-5357, 2016, vol. 502, pp. 1653-1663.
SIEKELOVÁ, Anna. Using rating for credit risk measurement. In New trends in finance and accounting : Springer proceedings in business and economics : 17th annual conference on finance and accounting, Prague, 27th May 2016. Cham : Springer international publishing AG, 2017. ISBN 978-3-319-49559-0, pp. 689-697.
WEISSOVÁ, Ivana - SPUCHLAKOVÁ, Erika. The impact of internally generated goodwill on credit risk of companies. In International conference on applied social science and business (ICMIBI-ASSB 2016), Windsor, 29th-30th September 2016. Singapore : Singapore management & sports science institute, 2016. ISBN 978-981-09-9763-2, pp. 14-19.
MICHALKOVÁ, Lucia - GREGOVÁ, Elena. The issue of capital structure in the view of Merton model. In International conference on information and business management ISSGBM-IB 2016, Hong Kong, 03th-04th September 2016. Singapore : Singapore management & sports science institute, 2016. ISBN 978-981-099757-1, pp. 85-90.
SPUCHLAKOVÁ, Erika - MISANKOVÁ, Mária. Risk management of credit default swap. In New trends and issues proceedings on humanities and social sciences [online]. 2017, vol. 3, no. 4, pp. [1][cit. 2017-04-11]. ISSN 2421-8030. Dostupné na: http://sproc.org/ojs/index.php/pntsbs/article/view/1573
MICHALKOVÁ, Lucia - KRAMAROVÁ, Katarína. CAPM model, beta and relationship with credit rating. In Advances in applied economic research : proceedings of the 2016 international conference on applied economics (ICOAE). Cham : Springer international publishing AG, 207. ISBN 978-3-319-48453-2, pp. 645-652.
VALASKOVÁ, Katarína - SIEKELOVÁ, Anna - WEISSOVÁ, Ivana. Credit risk measurement using VaR methodology. In Advances in applied economic research. ISSN 2198-7246, 2017, pp. 289-302.
MIŠANKOVÁ, M. - MAJEROVÁ, J. Critical assessment of the applicability of selected bankruptcy prediction models in specific conditions of the Slovak Republic. In Managing and modelling of financial risks : 8th international scientific conference, Ostrava, 05th-06th September 2016. Ostrava : Technical university of Ostrava, 2016. ISBN 978-80-248-3994-3, pp. 624-631.
SIEKELOVÁ, Anna - PODHORSKÁ, Ivana - VALÁŠKOVÁ, Katarína. Interdependence between indicators used for identifying impending bankruptcy and selected indicators. In Contributions to economics. ISSN 1431-1933, 2017, pp. 125-134.
WEISSOVÁ, Ivana - SIEKELOVÁ, Anna - VALÁŠKOVÁ, Katarína. Meaning of the market value company in the area of credit risk estimation. In EBEEC 2016 : 8th international conference "The Economies of Balkan and Eastern Europe Countries in the Changed World", Split, 6th - 8th May 2016. Split : University of Split, 2016. ISBN 978-960-363-065-4, pp. 152-157.
KLEMENTOVÁ, Jarmila - SEDLIAČIKOVÁ, Mariana - HAMÁRY GUROVÁ, Diana - MALÁ, Denisa. Performance of processes in quality management of companies providing services. In Global journal of business, economics and management : current issues [online]. 2018, vol. 8, no. 3, pp. 138-144 [cit. 2019-01-09]. ISSN 2301-2579. Dostupné na: https://sproc.org/ojs/index.php/gjbem/article/view/3502
MAZANEC, Jaroslav - BIELIKOVÁ, Alžbeta. The application of nonparametric methods in nonprofit sector. In Advances in panel data analysis in applied economic research : international conference on applied economics. Cham : Springer international publishing, 2017. ISBN 978-3-319-70054-0, pp. 269-282.
SEDLIAČIKOVÁ, Mariana - MALÁ, Denisa - ŠATANOVÁ, Anna. Performance of processes in quality management. In Kultúrna inteligencia ako dôležitý predpoklad konkurencieschopnosti Slovenska v globálnom prostredí : zborník vedeckých štúdií III. z projektu VEGA 1/0934/16. Banská Bystrica : Vydavateľstvo Univerzity Mateja Bela - Belianum, 2018. ISBN 978-80-557-1488-2, s. 117-123.
KLEMENTOVÁ, Jarmila - SEDLIAČIKOVÁ, Mariana - HAMÁRY GUROVÁ, Diana - MALÁ, Denisa. Performance of processes in quality management of wood-processing enterprises. In Global journal of business, economics and management : current issues. ISSN 2301-2579, 2018, vol. 8, no. 2, pp. 67-73.
BINDA, Jacek. E-Business challenges in the field of payment solutions - bitcoin a sustainable currency or gambling. In ASEJ - scientific journal Bielsko-Biala school of finance and law. ISSN 2543-9103, 2018, vol. 22, no. 3, pp. 5-12.
KARPÁČ, Dušan - BARTOŠOVÁ, Viera. Benchmarking of cultural infrastructure of selected self-governing regions of the Slovak Republic. In The European proceedings of social and behavioural sciences : 15th international strategic management conference, Poznan, 27th-29th June 2019. ISSN 2357-1330, 2019, vol. 71, pp. 279-287.
CHUTKA, Jan - VAGNER, Ladislav. CLS system and its contribution to minimize the risk of settlement of currency transactions. In 48th international scientific conference on economic and social development : managerial issues in modern business, Warsaw, 25th-26th November 2019. Varazdin : Varazdin development and entrepreneurship agency, 2019. ISSN 1849-7535, pp. 154-158.
JELAČIĆ, Denis - FALETAR, Josip - MOTIK, Darko. Human resource management (HRM) in the forest-based industry. In Management aspects in forestry and forest based industries : scientific book. Zagreb : Woodema i.a., 2020. ISBN 978-953-57822-7-8, pp. 137-152.
MISANKOVA, Maria - SPUCHLAKOVA, Erika. Application of conditional value at risk for credit risk optimization. In New trends and issues proceedings on humanities and social sciences : 05th world conference on business, economics and management (BEM-2016), Antalya, 12th-14th May 2016. ISSN 2547-8818, 2017, pp. 146-152.
NEDELIAKOVA, Eva - ABRAMOVIC, Borna. Strategy development of the companies providing the activities of railway infrastructure manager in the global transport market. In Globalization and its socio-economic consequences : 17th international scientific conference, Rajecké Teplice, 04th-05th October 2017. Žilina : University of Žilina, 2017. ISBN 978-80-8154-212-1, pp. 1686-1693.
BELAS, Jaroslav - DVORSKY, Jan - CEPEL, Martin - KOTASKOVA, Anna. Evaluation of commercial banks' approach to SME segment entrepreneurs : case study from the Czech Republic. In Proceedings of the 04th international conference on finance and economics (ICFE 2017), Ho Chi Minh City, 21st-22nd September 2017. Slaný : Melandrium, 2017. ISBN 978-80-87990-11-7, pp. 1-12.
BELAS, Jaroslav - DVORSKY, Jan - KOZUBIKOVA, Ludmila - CEPEL, Martin. Important factors of smes entrepreneurial orientation. In Ikonomicheski izsledvania. ISSN 0205-3292, 2019, vol. 28, no. 3, pp. 165-179.
BAKES, Vladimir - VALÁŠKOVÁ, Katarína. Assessment of financial risks in the insurance sector using the sensitivity analysis. In Springer proceedings in business and economics : international conference on applied economics, ICOAE 2017, Coventry, 06th-08th July 2017. Cham : Springer Nature, 2018. ISBN 978-3-319-70054-0, pp. 543-551.
CHUTKA, Jan - DURANA, Pavol. Development and current state of the Slovak Republic financial market. In Economic and social development : 45th international scientific conference on economic and social development - 19 international social congress (ISC 2019), Moscow, 17th-18th October 2019. ISSN 1849-7535, 2019, pp. 233-238.
Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xpca - PUBLIKAČNÁ ČINNOSŤ Odkazy (1) - PUBLIKAČNÁ ČINNOSŤ Názov Corporate governance and its impact on financial risk Súbež.n. Správa spoločnosti a jej vplyv na finančné riziko Aut.údaje Hussam Musa, Peter Krištofík, Lenka Debnárová Autor Musa Hussam 1968- (40%) UMBEF04 - Katedra financií a účtovníctva
Spoluautori Krištofík Peter 1971- (40%) UMBEF04 - Katedra financií a účtovníctva
Debnárová Lenka 1987- (20%) UMBEF04 - Katedra financií a účtovníctva
Zdroj.dok. Managing and modelling of financial risks : 7th international scientific conference, 8th - 9th September 2014, Ostrava, Czech Republic, Part II.. S. 529-535. - Ostrava : VŠB - Technická univerzita Ostrava, 2014 / Dluhošová Dana ; Zmeškal Zdeněk ; Managing and modelling of financial risks medzinárodná vedecká konferencia Kľúč.slová správa spoločnosti finančné riziká riadenie a správa spoločností - corporate governance financial risks volatility Jazyk dok. angličtina Krajina Česká republika Systematika 336 Kategória publikačnej činnosti AFC Číslo archívnej kópie 33673 Kategória ohlasu KLIEŠTIK, Tomáš - MAJEROVÁ, Jana. Selected issues of selection of significant variables in the prediction models. In Financial management of firms and financial institutions : 10th international scientific conference, 7th-8th September 2015, Ostrava. Ostrava : VŠB - Technická univerzita Ostrava, 2015. ISBN 978-80-248-3865-6, pp. 537-543.
KRÁĽ, Pavol - KLIEŠTIK, Tomáš. Estimation of the level of risk based on the selected theoretical probability distributions. In Financial management of firms and financial institutions : 10th international scientific conference, 7th-8th September 2015, Ostrava. Ostrava : VŠB - Technická univerzita Ostrava, 2015. ISBN 978-80-248-3865-6, pp. 603-610.
GROFČÍKOVÁ, Janka. Globalization and its impact on the corporate financial management and control. In Globalization and its socio-economic consequences : 16th international scientific conference, PTS I-V, Rajecké Teplice, 05th-06th October 2016. Žilina : University of Žilina, 2016. ISBN 978-80-8154-191-9, pp. 547-555.
KLIEŠTIK, Tomáš - ŠVÁBOVÁ, Lucia. Some remarks on the regional disparities of prediction models constructed in the Visegrad countries. In The economies of Balkan and Eastern Europe countries in the changing world : 8th international conference, Split, 6th-8th May 2016. Split : University of Split, 2016. ISBN 978-960-363-065-4, pp. 89-95.
GROFČÍKOVÁ, Janka - IZÁKOVÁ, Katarína. Corporate governance and firm performance in Slovakia. In Globalization and its socio-economic consequences : 18th international scientific conference, Rajecké Teplice, 10th-11th October 2018. Žilina : University of Žilina, 2018. ISBN 978-80-8154-249-7, pp. 532-539.
GROFČÍKOVÁ, Janka - IZÁKOVÁ, Katarína. Uplatňovanie princípov corporate governance a ich vplyv na inovačný potenciál a výkonnosť podniku. In Acta aerarii publici : vedecký časopis Ekonomickej fakulty Univerzity Mateja Bela v Banskej Bystrici. ISSN 1336-8818, 2018, roč. 15, č. 2, s. 19-29.
GROFČÍKOVÁ, Janka. Using of financial control tools in business practice. In Conference proceedings of the 3rd international scientific conference : marketing management, trade, financial and social aspects of business, 22th-23th October 2015. Košice : University of Economics in Bratislava, Faculty of Business Economy with seat in Košice, 2015. ISBN 978-80-225-4163-3, pp. 130-136.
GROFČÍKOVÁ, Janka. The use of financial analysis indicators for the monitoring of company financial situation and elimination of financial risk. In 8th international scientific conference : managing and modelling of financial risks, Ostrava, 05th-06th September 2016. Ostrava : Technical University of Ostrava, Faculty of Economics, 2016. ISBN 978-80-248-3994-3, pp. 248-255.
GROFČÍKOVÁ, Janka. Impact of selected determinants of corporate governance on financial performance of companies. In Ekonomicko-manažérske spektrum (EMS) : recenzovaný vedecký časopis Žilinskej univerzity. ISSN 1337-0839, 2020, roč. 14, č. 2, s. 12-23.
Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xpca - PUBLIKAČNÁ ČINNOSŤ Názov Financial risk modelling and portfolio optimization with R Aut.údaje Bernhard Pfaff Autor Pfaff Bernhard
Vyd.údaje Chichester : John Wiley & Sons , 2013. - xvi; 356 s. : gr., 24 cm Vydanie 1st ed. Edícia Statistics in practice ISBN 978-0-470-97870-2 Poznámka Bibliografické odkazy. Register Kľúč.slová finančné riziká portfóliový manažment - riadenie portfólia - portfolio management program R R programm financial risks Jazyk dok. angličtina Krajina Veľká Británia Systematika 336 004 005 Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xkni - KNIHY Počet ex. 2, z toho voľných 0, prezenčne 2 Signatúra Lokácia Dislokácia Umiestnenie Info 346214 Univerzita Mateja Bela EF Katedra kvantitatívnych metód a informačných systémov len prezenčne 346215 Univerzita Mateja Bela EF Katedra kvantitatívnych metód a informačných systémov len prezenčne Názov Financial risk management Podnázov a practitioner's guide to managing market and credit risk Aut.údaje Steven Allen Autor Allen Steven
Vyd.údaje New Jersey : John Wiley & Sons , 2013. - xxvii; 579 s. : tab., 24 cm Vydanie 2nd ed. Edícia Wiley Finance ISBN 978-1-118-17545-3 Poznámka Bibliografia s. 533-545. Register Kľúč.slová manažment rizík - rizikový manažment - risk management finančný úpadok finančné riziká financie - finance financial risks Jazyk dok. angličtina Krajina Spojené štáty Systematika 336 65.011.3 Katal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Báza dát xkni - KNIHY Počet ex. 3, z toho voľných 0, prezenčne 3 Signatúra Lokácia Dislokácia Umiestnenie Info 337603 Univerzita Mateja Bela UK Ekonomická študovňa len prezenčne 337604 Univerzita Mateja Bela EF Katedra financií a účtovníctva len prezenčne 337605 Univerzita Mateja Bela UK Ekonomická študovňa len prezenčne