RISK management : strategies for economic development and challenges in the financial system / Danijela Miloš Sprčić, editor. - New York : Nova Science Publishers, cop. 2014. - XI, 356 str. : graf. prikazi ; 26 cm. - (Business economics in a rapidly-changing world)
Bibliografija uza svaki rad. - Kazalo.
ISBN 978-1-63321-496-5
[New era of risk management - an integrated approach to corporate risks. A]
A New era of risk management - an integrated approach to corporate risks / Danijela Miloš Sprčić. - str. 1-28 : ilustr.
Literatura: str. 26-28.
Risk management and corporate governance : through the looking glass / Silvije Orsag i Andrija Sabol. - str. 29-49
Literatura: str. 48-49.
[Role of the board in enterprise risk management. The]
The Role of the board in enterprise risk management / Darko Tipurić, Marina Mešin i Katarina Dvorski. - str. 51-65
Literatura: str. 64-65.
[Role of audit committee in the enterprise risk management. The]
The Role of audit committee in the enterprise risk management / Boris Tušek, Lajoš Žager i Ivana Barišić. - str. 67-95
Literatura: str. 92-95.
Risk management and contractual obligations / William V. Rapp. - str. 97-108
Literatura: str. 107-108.
Link between corporate hedging theory and derivatives usage - evidence from South-Eastern Europe / Danijela Miloš Sprčić, Željko Šević i Petar Sprčić. - str. 109-140 : tabl.
Literatura: str. 137-140.
Credit default swaps and sovereign debt in Eurozone / Pantelis E. Thalassions. - str. 141-170
tabl. - Literatura: str. 168-170.
Contagiousness of a financial crisis / Ivana Miličić, Srđan Kovačević i Danijela Miloš Sprčić. - str. 171-196 : tabl., ilustr.
Literatura: str. 192-196.
External auditing in the function of managing financial reporting risks / Lajoš Žager, Boris Tušek i Sanja Sever Mališ. - str. 197-220 : ilustr.
Literatura: str. 220.
Segmental financial reporting and the internationalization of the banking sector / Eleftherios Thalassinos i Konstantinos Liapis. - str. 221-255 : ilustr.
Literatura: str. 252-255.
[Market index benchmark and adequate compensation for systematic risk in an illiquid and undeveloped financial market. The]
The Market index benchmark and adequate compensation for systematic risk in an illiquid and undeveloped financial market / Davor Zoričić, Denis Dolinar i Antonija Kožul. - str. 257-277 : ilustr.
Literatura: str. 275-277.
[Influence of the capital structure on the systematic risk of common stocks. The]
The Influence of the capital structure on the systematic risk of common stocks / Antonija Kožul, Ena Pecina i Andrija Sabol. - str. 279-287 : tabl.
Literatura: str. 286-287.
Risk in agriculture, futures and crush spread trading / Aleksandar Šević. - str. 289-302
Literatura: str. 300-302.
Enterprise risk management in the electric power industry / Dubravka Radić, Ena Pecina i Danijela Miloš Sprčić. - str. 303-318 : ilustr.
Literatura: str. 317-318.