Results 31 to 40 of about 87 (79)

Upravljanje rizikom umora letačkog osoblja

open access: yes, 2018
Crew planning is a very complex operation and it needs to be carried out according to books of regulations, regulatory provisions, collective agreements, etc. The physical and/or mental condition violation of the crew member affects the air traffic safety.
openaire   +1 more source

Managing and monitoring indoor air quality and surface decontamination in healthcare environments. [PDF]

open access: yesArh Hig Rada Toksikol
Cappelli G   +11 more
europepmc   +1 more source

Upravljanje kreditnim rizikom u bankarstvu

open access: yes, 2017
Ako je upravljanje financijskim institucijama moguće poistovjetiti s upravljanjem rizicima u financijskim institucijama tada se može, s obzirom na prirodu bankarskoga poslovanja, reći kako upravljanje kreditnim rizikom predstavlja najznačajniju aktivnost u upravljanju bankama.
openaire   +1 more source

Upravljanje rizikom solventnosti životnih osiguravača

open access: yes
A comprehensive assessment of the risks that affect the business operations of an insurance company is essential to evaluate the company's ability to meet its long-term obligations under insurance contracts. The subject of the doctoral dissertation is the measurement of life insurance risks and the analysis of their impact on the solvency of insurance ...
openaire   +1 more source

Strateško upravljanje rizikom vinarija u Hrvatskoj

open access: yes, 2018
Viticulture and Enology as part of agriculture of the Republic of Croatia encompasses tradition, hard work, sacrifice, persistence and hope of vine and wine growers, uniqueness of terroir and vine varieties, and potential of wine placement through tourism. By EU accession, Croatian wine makers have entered the market of half a billion consumers.
openaire   +1 more source

Upravljanje kreditnim rizikom u hrvatskim bankama

open access: yes, 2016
In its operations, banks are exposed to many risks. Risk management in the banking industry has two main goals, which are: to avoid the insolvency of and maximize the rate of return on equity adjusted for risk. The basis of financial management consists in good and efficient management of assets and liabilities, and collecting and investing funds ...
openaire   +1 more source

Mjerenje i upravljanje tržišnim rizikom

open access: yes
The main topic of this paper is an insight into the market risk measure, VaR. In the first chapter, the definition of VaR is provided, along with an introduction to three fundamental methods for its calculation. Each method is accompanied by an example of calculating VaR using historical data.
openaire   +1 more source

Upravljanje rizikom u E-poslovanju

open access: yes, 2004
Despotović-Zrakić, Marijana   +1 more
openaire   +1 more source

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