Read 49 publications, and contact Krzysztof Jajuga on ResearchGate, the nurtów rozważań dotyczących zarządzania ryzykiem instytucji finansowych, w tym. PDF | pełen tekst książki do pobrania ze strony Repozytorium Dorobku Naukowego Politechniki Warszawskiej Zarządzanie ryzykiem jest przedstawione zarówno w zakresie narzędzi zarządzania Krzysztof Jajuga at Wroclaw University of Economics.

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This is the latest version of this item. Her experience as a practitioner, as shown in her The jamuga provides a discussion on a systematization of different risk measures proposed in scientific literature and used in practice.

The second criterion is the character of the risk variable, either discrete or continuous. Testing the dynamic relationships between the public financial sector deficit and the macroeconomic variables in selected EU countries. The book is divided into five parts.

An analysis of decision under risk, Econometrica Tversky A, Kahneman D,Availability: Economics and Business Review. Macroeconomic imbalances in Hungary in the period of fiscal consolidation attempts.

prof. dr hab. Krzysztof Jajuga

Fuzzy generalizations of some mathematical concepts are presented in the second part. Savings policy implemented by the Federal Republic of Germany in — Enforcement of correction of excessive macroeconomic imbalances in the euro area. Its enthusiasts and opponents can have discussions lasting hours, supporting their argumentation by data and examples zarzdzaanie Methods of examining the relationship between budget balance and macroeconomic variables.


In the fifth part fuzzy probabilistic sets are applied for actuarial mathematics. Decision and Control, Berkeley.

Public finances and the new economic governance in the European Union

Reviewed book is the original, innovatory work which contributes to the development of finance science as well as macroeconomics. Using these criteria the most common groups of risk measures are discussed. Public finances and the new economic governance in the European Union. This refers particularly to krzysztot measures in which quantitative methods are applied. Fiscal consolidation as the basic tool for disciplining public finances.

Public finances and the new economic governance in the European Union zarzdzannie ocena. The specific experience of other Member States has also been taken into account while identifying the advantages and disadvantages of current fiscal consolidation strategies.

Past, Present and Future, Philosophical Transactions, The third criterion makes the distinction between high frequency, low severity events, corresponding to standard normal type of risk, and low frequency, high severity events, corresponding to extreme risk. All papers reproduced by permission.

Metody matematyczne, ekonometryczne, i komputerowe w finansach i ubezpieczeniach, Wydawnictwa Naukowe Akademii Ekonomicznej w Katowicach, Katowice. The dissertation is a novel study on the Polish literature market.


Formal representation of human judgment,[ed. The impact of jqjuga financial crisis on the distribution of total power krzusztof the member states of the European Union.

Public Relations bibliotek naukowych w Pobierz fragment epub Pobierz fragment mobi. Unia Europejska finanse publiczne ekonomia. This book is useful reading for economists, financiers, political scientists, economic sociologists, students of economic studies, journalists, politicians and for all who are interested in economics and finance. The impact of selected behavioural premises for imprecise estimation of expected return is described in the third part.

Ta pozycja nie ma jeszcze recenzji. Matematyczne i ekonometryczne metody oceny ryzyka finansowego, Wydawnictwa Naukowe Akademii Ekonomicznej w Katowicach, Katowice. Data i godzina dostarczenia prezentu.

Zarządzanie ryzykiem prowadzące do minimalizacji ryzyka. | Welcome to ECON-IT2

A heuristic for judging frequency and probability, Cognitive Psychology 5. Zeszyty Naukowe Akademii Ekonomicznej S. Public Procurement as a Tool of State The work attempts to examine the zardzanie of fiscal consolidation of member states.

Initial analysis of GDP per capita ratios variation in European countries in —