master's thesis

Abstract

An analysis of the usefulness of the naïve probability of default measure during the period of global financial crisis

Keywords

finance;krize;recesije;krediti;dolgovi;tveganje;obvladovanje tveganj;ekonomska predvidevanja;kalkulacije;modeli;raziskave;analiza;crises;recessions;credit;debts;risk;risk management;economic forecasting;calculations;models;research;analysis;

Data

Language: English
Year of publishing:
Typology: 2.09 - Master's Thesis
Organization: UL EF - Faculty of Economics
Publisher: [J. Gregorka Slana]
UDC: 336
COBISS: 23846118 Link will open in a new window
Views: 1009
Downloads: 249
Average score: 0 (0 votes)
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Other data

Secondary language: Slovenian
Secondary title: Analiza uporabnosti mere "naivne" verjetnosti neplačila v obdobju globalne finančne krize
Secondary keywords: finance;krize;recesije;krediti;dolgovi;tveganje;obvladovanje tveganj;ekonomska predvidevanja;kalkulacije;modeli;raziskave;analiza;
Type (COBISS): Master's thesis/paper
Thesis comment: Univ. v Ljubljani, Ekonomska fak.
Pages: II, 55, 1 str.
ID: 10862536
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