关注
Roberto Ercegovac
Roberto Ercegovac
University of Split: Faculty of Economics
在 efst.hr 的电子邮件经过验证
标题
引用次数
引用次数
年份
Credit rationing in financial distress: Croatia SMEs' finance approach
A Kundid, R Ercegovac
International Journal of Law and Management 53 (1), 62-84, 2011
882011
Determinants of bank profitability in Croatia
A Kundid, B Škrabić, R Ercegovac
Croatian operational research review 2 (1), 168-182, 2011
792011
Teorija i praksa bankovnog menadžmenta
R Ercegovac
402016
Bank specific determinants of EU banks profitability after 2007 financial crisis
R Ercegovac, I Klinac, I Zdrilić
Management: Journal of Contemporary Management Issues 25 (1), 89-102, 2020
332020
What Determines the Price to Book Ratio in the European Banking Sector.
R Ercegovac, M Pečarić, I Klinac
Finance a Uver: Czech Journal of Economics & Finance 70 (3), 2020
122020
Politika kamatnih stopa u bankama u kontekstu rizika
R Ercegovac
Ekonomski fakultet u Splitu, 2008
112008
Banking system adjustment to regulatory capital requirements
I Klinac, R Ercegovac
Croatian economic survey 20 (2), 69-96, 2018
92018
Interbank deposit market relevance for Croatian banking system sustainability
R Ercegovac, A Kundid
Ekonomski pregled 62 (1-2), 48-66, 2011
92011
Sekuritizacija financijske imovine u kontekstu upravljanja kamatnim rizikom
R Ercegovac
Ekonomski pregled 54 (1-2), 102-120, 2003
92003
Bank risk profiles and business model characteristics
R Ercegovac, M Pečarić, I Klinac
Journal of Central Banking Theory and Practice 9 (3), 107-121, 2020
62020
Financijske pretpostavke ekonomskog rasta u tranzicijskim ekonomijama
R Ercegovac
Zbornik radova Pravnog fakulteta u Splitu 39 (3-4), 491-502, 2002
62002
IFRS 9 impact on bank landing policy and structural risk management
R Ercegovac
Eurasian journal of business and management 6 (3), 53-60, 2018
52018
Prudential constrains of banks lending activities after financial crisis
R Ercegovac
Eurasian Journal of Business and Management 5 (3), 48-56, 2017
52017
Fair value accounting in finance industry and yield/discount curve development–case study Croatia
Z Aljinović, R Ercegovac, B Marasović
Global business & economics review. Anthology 1, 76-85, 2008
52008
Teorijska osporavanja primijenjenih financijskih modela i nove znanstvene paradigme
E Roberto
Ekonomski pregled 59 (5-6), 2008
52008
Liquidity Risk Management Paradox in Contemporary Banking (Re) regulation
A Kundid, R Ercegovac
Global business & economics review. Anthology 2 (2), 436-449, 2011
42011
Bank liquidity distress transfer toward real economy ahead of financial crisis
A Kundid, R Ercegovac, I Klinac
Global business & economics review. Anthology 2, 210-220, 2009
42009
Banking System Compliance With MIFID II Regulation: Consequences and Challenges
R Ercegovac, P Maslać
Journal of accounting and management 9 (1), 41-50, 2019
32019
Country Risk Premium Development–Case Study Croatia
Z Aljinović, R Ercegovac, B Marasović
Nepoznat skup, 142-148, 2011
32011
Sadržaj i posljedice novog uređenja kapitala u bankarstvu
R Ercegovac, A Kundid
Računovodstvo, revizija i financije 21 (8), 117-121, 2011
32011
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