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Vol 11, No 2 (2013) The Development of an Attitude Towards Risk Management in the Context of Country Competitiveness Abstract PDF
Viktorija Stasytytė
Vol 12, No 1 (2014) Consideration of Risk in PPP-Projects Abstract PDF
Josef Zimmermann, Wolfgang Eber
Vol 15, No 1 (2017) Using Risk Simulation to Reduce the Capital Cost Requirement for a Programme of Capital Projects Abstract PDF
Francois Joubert, Leon Pretorius
Vol 8 (2010) Payment Risk Estimation in the Markets of Lithuania, Latvia and Estonia Abstract PDF
Ingrida Grigonytė, Vytautas Sūdžius
Vol 10, No 2 (2012) Bank Liquidity Risk: Analysis and Estimates Abstract PDF
Meilė Jasienė, Jonas Martinavičius, Filomena Jasevičienė, Gražina Krivkienė
Vol 13, No 2 (2015) Relationship between Lithuanian Sovereign Credit Risk and Equity Market Abstract PDF
Aistė Abazoriūtė, Arvydas Kregždė
Vol 12, No 2 (2014) The Use of a Modification of the Hurwicz’s Decision Rule in Multicriteria Decision Making under Complete Uncertainty Abstract PDF
Helena Gaspars-Wieloch
Vol 12, No 2 (2014) Characteristics of Omega-Optimized Portfolios at Different Levels of Threshold Returns Abstract PDF
Renaldas Vilkancas
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Business, Management and Education ISSN 2029-7491, eISSN 2029-6169
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