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The Issues of the Management of Receivables: Lithuanian Case

working paper 1344. Accessed [10.01.2016]. Available from Internet: https://www.imf.org/external/pubs/ft/wp/2013/wp1344.pdf Mackevičius, J. (2008). Įmonių veiklos analizė - informacijos rinkimo, tyrimo ir vertinimo Sistema. Informacijos mokslai, (4), 46-56. Mackevičius, J., & Rakštelienė, A. (2005). Altman modelių taikymas Lietuvos įmonių bankrotui prognozuoti. Ekonomikos ir teorijos praktika: Pinigų studijos, (1), 24-42. Malinauskas, G. (2014). Pirkėjų skolų valdymo modelis smulkaus verslo įmonėje. Jaunasis mokslininkas

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Identification of Indicators’ Applicability to Settle Borrowers’ Probability of Default

. (2002). Capital Charges under Basel II: Corporate Credit Risk Modelling and the Macro Economy. Sveriges Riksbank Working paper Series, (142), 1-54. Chan-Lau, J. A. (2006). Market-Based Estimation of Default Probabilities and Its Application to Financial Market Surveillance. IMF Working Paper. Monetary and Financial Systems Department. [Accessed 10.02.2016]. Available from Internet: https://www.imf.org/external/pubs/ft/wp/2006/wp06104.pdf Cibulskienė, D., Butkus, M., & Žakarė, S. (2014). Bankroto Diagnostikos Modelis ir jo Pritaikymas

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Race to the Eurozone: why Latvia joined before Lithuania

[The Political Economy of Internal Adjustment in the Baltic States: Explaining Responses to the Crisis]. Doctoral Dissertation, Vilnius University. http://vddb.laba.lt/fedora/get/LT-eLABa-0001:E.02~2013~D_20130416_130826-54294/DS.005.0.01.ETD Kuokštis, V., 2015. Jingle bells and struggling GIPS: Comparing the Baltic and the southern euro zone’s crisis experience using the varieties of capitalism framework. Acta Oeconomica, 65(1), pp. 39-64. Milne, R., 2013, April 23. Latvia: Reaching for the euro. Financial Times. Retrieved from http://www.ft

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