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FOYDALANILGAN ADABIYOTLAR ROʻYXATI


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Davlat moliya tizimi uning tarkibi va tuzilishi

FOYDALANILGAN ADABIYOTLAR ROʻYXATI

  1. Allen, F., & Gale, D. (2007). Understanding financial crises. Oxford University Press.

  2. Barth, J. R., Caprio, G., & Levine, R. (2013). The guardians of finance: Making regulators work for us. MIT Press.

  3. Blinder, A. S. (2013). After the music stopped: The financial crisis, the response, and the work ahead. Penguin.

  4. Caprio, G., & Levine, R. (2002). Corporate governance in finance: Concepts and international observations. World Bank Research Observer, 17(1), 27-60.

  5. Claessens, S., Dell'Ariccia, G., Igan, D., & Laeven, L. (2010). Cross-country experiences and policy implications from the global financial crisis. Economic Policy, 25(62), 267-293.

  6. De Haas, R., & Van Lelyveld, I. (2014). Multinational banks and the global financial crisis: Weathering the perfect storm? Journal of Money, Credit and Banking, 46(s1), 333-364.

  7. Demirgüç-Kunt, A., & Huizinga, H. (2010). Bank activity and funding strategies: The impact on risk and returns. Journal of Financial Economics, 98(3), 626-650.

  8. Diamond, D. W., & Rajan, R. G. (2009). The credit crisis: Conjectures about causes and remedies. American Economic Review, 99(2), 606-610.

  9. Fabozzi, F. J., Modigliani, F., & Jones, F. J. (2010). Foundations of financial markets and institutions. Pearson Education.

  10. Freixas, X., & Rochet, J. C. (2008). Microeconomics of banking. MIT Press.

  11. a Porta, R., Lopez-de-Silanes, F., Shleifer, A., & Vishny, R. W. (1998). Law and finance. Journal of Political Economy, 106(6), 1113-1155.




  1. Mishkin, F. S. (2009). Global financial crisis: Causes and consequences. Journal of Monetary Economics, 56(6), 912-924.

  2. Mishkin, F. S., & Eakins, S. G. (2015). Financial markets and institutions. Pearson.

  3. Mishkin, F. S. (2015). The economics of money, banking, and financial markets. Pearson Education.

  4. Saunders, A., & Cornett, M. (2016). Financial institutions management: A risk management approach. McGraw-Hill Education.


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