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  • Risk management model for transportation company

    Viktorija Stasytytė, Raminta Pilionienė
    DOI https://doi.org/10.3846/bm.2016.36
    Page 1-9
    2016-01-01
  • Sectoral risk assessment: a case of the latvian forestry sector

    Irina Voronova, Vladimirs Shatrevich
    DOI https://doi.org/10.3846/bm.2020.621
    Page 1-8
    2020-04-01
  • Risk management in Polish companies

    Gorzeń-Mitka Iwona
    DOI https://doi.org/10.3846/bm.2012.139
    Page 1-6
    2012-01-01
  • Country risk assessment based on MULTIMOORA

    Jelena Stankevičienė, Tatjana Sviderskė
    DOI https://doi.org/10.3846/bm.2012.069
    Page 1-7
    2012-01-01
  • Investment characteristics of Indonesian government bond market during the COVID-19 pandemic

    Alexander Ganchev
    DOI https://doi.org/10.3846/bm.2022.825
    Page 1-9
    2022-02-09
  • Unveiling risk patterns through an in-depth analysis of Slovak company defaults (2014–2018)

    Mária Vojtasová , Martin Alexy
    DOI https://doi.org/10.3846/bm.2024.1279
    Page 1-8
    2024-03-18
  • Verbal analysis and its application for the assessment and management of the investment project risk in construction

    Galina Shevchenko, Leonas Ustinovichius
    DOI https://doi.org/10.3846/bm.2016.61
    Page 1-10
    2016-01-01
  • A novel conceptual risk management model based on the future’s uncertainties

    Reza Hafezi, Amir Naser Akhavan
    DOI https://doi.org/10.3846/bm.2014.028
    Page 1-6
    2014-01-01
  • Brand risk scenarios development: theoretical insights

    Vestina Vainauskienė, Rimgailė Vaitkienė
    DOI https://doi.org/10.3846/bm.2012.072
    Page 1-8
    2012-01-01
  • The evaluation of low and medium risk investment tools in Lithuanian financial market

    Daiva Jurevičienė, Erika Avižinytė
    DOI https://doi.org/10.3846/bm.2014.029
    Page 1-9
    2014-01-01
  • Effectiveness of risk capital (own funds) in the Polish banking sector in the years of 2002–2016

    Aleksandra Nocoń, Irena Pyka
    DOI https://doi.org/10.3846/bm.2018.02
    Page 1-11
    2018-01-01
  • Portfolio structure planning and its future price forecasting model

    Jekaterina Nazarova
    DOI https://doi.org/10.3846/bm.2014.036
    Page 1-8
    2014-01-01
  • NII forecasting model for local Baltic banks IRRBB management

    Gerda Žigienė, Mantas Valukonis
    DOI https://doi.org/10.3846/bm.2022.844
    Page 1-9
    2022-02-09
  • The link between the application of quality management principles and risk management in healthcare

    Veronika Buckė, Darius Ruželė, Juozas Ruževičius, Raimondas Buckus
    DOI https://doi.org/10.3846/bm.2022.746
    Page 1-12
    2022-02-09
  • Health care market in the Czech Republic in the information society

    Jan Luhan, Veronika Novotna
    DOI https://doi.org/10.3846/bm.2014.077
    Page 1-8
    2014-01-01
  • Art as a diversification tool of investment portfolios

    Daiva Jurevičienė, Jekaterina Savičenko, Algita Miečinskienė
    DOI https://doi.org/10.3846/bm.2012.012
    Page 1-8
    2012-01-01
  • Study on the eligibility of venture capital funds in the United States market

    Ieva Pakšytė, Daiva Jurevičienė
    DOI https://doi.org/10.3846/bm.2022.778
    Page 1-9
    2022-02-09
  • Investigation of insurance company financial stability: case of Baltic non-life insurance market

    Darja Stepchenko, Irina Voronova
    DOI https://doi.org/10.3846/bm.2014.042
    Page 1-9
    2014-01-01
  • Association between firm size and enterprise risk management level – literature review

    Lenka Syrová
    DOI https://doi.org/10.3846/bm.2022.810
    Page 1-8
    2022-02-09
  • Simple moving average as a risk management method in main asset classes

    Lukas Macijauskas
    DOI https://doi.org/10.3846/bm.2012.016
    Page 1-8
    2012-01-01
  • Trading futures contracts in global markets

    Viktorija Stasytytė, Raimonda Martinkutė-Kaulienė
    DOI https://doi.org/10.3846/bm.2014.041
    Page 1-8
    2014-01-01
  • Analysis of global financial markets and its future perspectives

    Alina Kvietkauskienė, Raimonda Martinkutė-Kaulienė
    DOI https://doi.org/10.3846/bm.2016.23
    Page 1-8
    2016-01-01
  • The behaviour of Chinese government bond yield curve before and during the COVID-19 pandemic

    Alexander Ganchev
    DOI https://doi.org/10.3846/bm.2023.1008
    Page 1-11
    2023-03-03
  • Analysis of investment strategies in cryptocurrencies

    Tomas Valečka, Nijolė Maknickienė
    DOI https://doi.org/10.3846/bm.2025.1460
    Page 1-8
    2025-03-02
  • Types of cyber risks for SMEs: classification and business impact

    Alona Bahmanova, Natalja Lace
    DOI https://doi.org/10.3846/bm.2025.1556
    Page 1-8
    2025-03-02
1 - 25 of 32 items 1 2 > >> 

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