University of Zagreb Faculty of Economics and Business Department of Finance
Cite this document
Neveščanin, M. (2019). Značaj sistemskog rizika za financijsku stabilnost (Master's thesis). Zagreb: University of Zagreb, Faculty of Economics and Business. Retrieved from https://urn.nsk.hr/urn:nbn:hr:148:947703
Neveščanin, Marko. "Značaj sistemskog rizika za financijsku stabilnost." Master's thesis, University of Zagreb, Faculty of Economics and Business, 2019. https://urn.nsk.hr/urn:nbn:hr:148:947703
Neveščanin, Marko. "Značaj sistemskog rizika za financijsku stabilnost." Master's thesis, University of Zagreb, Faculty of Economics and Business, 2019. https://urn.nsk.hr/urn:nbn:hr:148:947703
Neveščanin, M. (2019). 'Značaj sistemskog rizika za financijsku stabilnost', Master's thesis, University of Zagreb, Faculty of Economics and Business, accessed 21 December 2024, https://urn.nsk.hr/urn:nbn:hr:148:947703
Neveščanin M. Značaj sistemskog rizika za financijsku stabilnost [Master's thesis]. Zagreb: University of Zagreb, Faculty of Economics and Business; 2019 [cited 2024 December 21] Available at: https://urn.nsk.hr/urn:nbn:hr:148:947703
M. Neveščanin, "Značaj sistemskog rizika za financijsku stabilnost", Master's thesis, University of Zagreb, Faculty of Economics and Business, Zagreb, 2019. Available at: https://urn.nsk.hr/urn:nbn:hr:148:947703