[AN M., QI Z., 2012, Competing Risks Modelsusing Mortgage Duration Data under the Proportional Hazards Assumption, Journal of Real Estate Research, Vol. 34 (1). 10.1080/10835547.2012.12091323]Search in Google Scholar
[BANSEG., BECHMANNG., 1998, Interdisziplinare Risikoforschung. Eine Bibliographie, Westdeutschet Verlag, Opladem/Wiesbaden, p. 7. 10.14512/tatup.7.1.115]Search in Google Scholar
[BECK U., 2002, Społeczeństwo ryzyk. W drodze do innej nowoczesności (Risk Society. On the Way to Modernity), Wyd. Scholar, Warszawa. ]Search in Google Scholar
[BENNETT D., 2000, Ryzyko walutowe - instrumenty i strategie zabezpieczające (Currency Risk - Instruments and Hedging Strategies), Wydawnictwo ABC, Warszawa, p. 28. ]Search in Google Scholar
[BEREZA S., 1992, Zarządzanie ryzykiem bankowym (Bank Risk Management), Związek Banków Polskich, Warszawa, p. 35. ]Search in Google Scholar
[BITNER J.W., GODDARD R.A., 1992, Successful Bank Asset/Liability Management. A Guide to the Future Beyond Gap, John Wiley and Sons, p. 265. ]Search in Google Scholar
[BORYS F., 1999, Metodyczne aspekty podejmowania i zarządzania realizacją przedsięwzięć gospodarczych (Methodical Aspects of Undertaking and Managing the Realization of Economic Undertakings), Oficyna Wydawnicza Politechniki Wrocławskiej, Wrocław. ]Search in Google Scholar
[BULLETIN OF THE COMMISSION OF INSURANCE TERMINOLOGY OF THE AMERICAN RISK AND INSURANCE ASSOCIATION, 1966, Vol. 2, No. 1. ]Search in Google Scholar
[COURCHANE M., KIEFER L., ZORN P., 2015, A Tale of Two Tensions: Balancing Access to Credit and Credit Risk in Mortgage Underwriting, Real Estate Economics, Vol.43 (4), pp. 993-1034. 10.1111/1540-6229.12105]Search in Google Scholar
[COVELLO, V.T., MUMPOWER, J., 1985, Risk Analysis and Risk Management: An Historical Perspective. Risk Analysis, Vol. 5 (2), pp. 103-120. 10.1111/j.1539-6924.1985.tb00159.x]Open DOISearch in Google Scholar
[DAMODARANA., 2008, Strategic Risk Taking: A Framework for Risk Management, Pearson Education, Inc. publishing as Wharton School Publishing, przeł. MACIEJEWSKI A., 2009, Ryzyko strategiczne. Podstawy zarządzania ryzykiem, Wydawnictwo Akademickie i Profesjonalne Sp. z o. o., Warszawa.]Search in Google Scholar
[DENENBERG H.S., 1964, Risk and Insurance, Prentice Hall, Englewood Cliffs, p. 4. ]Search in Google Scholar
[DENG X., ONG S.E., QIAN M., 2017, Real Estate Risk, Corporate Investment and Financing Choice, Journal of Real Estate Finance and Economics, DOI 10.1007/s11146-017-9599-y.10.1007/s11146-017-9599-y]Open DOISearch in Google Scholar
[DZIAWGO D., 1998, Credit-rating. Ryzyko i obligacje na międzynarodowym rynku finansowym (Credit- Rating. Risks and Bonds on the International Financial Market), PWN, Warszawa, p. 16. FISCHER D.E., JORDAN R.J., 1991, Security Analysis and Portfolio Management, Prentice Hall, pp. 91-92. ]Search in Google Scholar
[FISCHHOFF B., SLOVIC P., LICHTENSTEIN S.,1981, Acceptable Risk, Cambridge/New York. ]Search in Google Scholar
[GARDNER M.J., MILLS D.L., 1988, Managing Financial Institutions: AN Asset/Liability Approach, The Dryden Press, Chicago, p. 212.]Search in Google Scholar
[GRZYBOWSKI W., 1984, Ryzyko, innowacje i decyzje gospodarcze (Risks, Innovations and Economic Decisions), Lublin. ]Search in Google Scholar
[HEMPEL G.H., COLEMAN A.B., SIMONSON D.G., 1990, Bank Management: Text and Cases, John Wiley and Sons, s. 82. ]Search in Google Scholar
[JAJUGA K., JAJUGA T., 1996, Inwestycje (Investments), PWN, Warszawa, pp. 99-101. ]Search in Google Scholar
[JIN C., SOYDEMIR G., TIDWELL A., 2014, The U.S. Housing Market and the Pricing of Risk: Fundamental Analysis and Market Sentiment, Journal of Real Estate Research, vol. 36 (2). 10.1080/10835547.2014.12091390]Search in Google Scholar
[KACZMAREK T.T., 2006, Ryzyko i zarządzanie ryzykiem ujęcie interdyscyplinarne (Risk and Risk Management, an Interdisciplinary Approach). Centrum Doradztwa i Informacji DIfin sp. z o.o. Warszawa. ]Search in Google Scholar
[KALINOWSKI M., 2009, Zarządzanie ryzykiem stopy procentowej w przedsiębiorstwie (Managing Interest Rate Risk in the Enterprises), CeDeWu Sp. z o.o., Warszawa. ]Search in Google Scholar
[KALINOWSKI M., 2007, Zarządzanie ryzykiem walutowym w przedsiębiorstwie (Currency Risk Management in an Enterprise). CeDeWu Sp. z o.o., Warszawa. ]Search in Google Scholar
[KNIGHT F.H., 1921, Risk, Uncertainty and Profit, s.19-20, pp. 233-234. KEYNES J.M., 1921, A Treatise on Probability, Macmillan and Co., London pp. 315-316. ]Search in Google Scholar
[KOZOJĆ K., 2014, Pomiar, kontrola i ograniczanie skutków ryzyka finansowego (Measurement, Control and Mitigation of the Effects of Financial Risk), Zeszyty Naukowe Uniwersytetu Szczecińskiego nr 804, Finanse, Rynki Finansowe, Ubezpieczenia no. 67, Szczecin (online: http://www.wneiz.pl/nauka_wneiz/frfu/67-2014/FRFU-67-231.pdf).]Search in Google Scholar
[KUBIŃSKA-KALETA E., 2008, Zarządzanie ryzykiem w przedsiębiorstwach przemysłowych na przykładzie huty stali (Risk Management in Industrial Enterprises on the Example of Steel Works), Akademia Górniczo Hutnicza, Wydział Zarządzania, Kraków (dissertation) (online: http://winntbg.bg.agh.edu.pl/rozprawy/9919/full9919.pdf).]Search in Google Scholar
[KULP C.A., 1928, Casualty Insurance, Ronald Press, New York, pp. 4-7.]Search in Google Scholar
[KULP C.A., 1956, Casualty Insurance, Ronald Press, New York, issue 3, pp. 3-4.]Search in Google Scholar
[LEWANDOWSKI D., 1993, Analiza ryzyka walutowego (Currency Risk Analysis), Olympus, Warszawa, p. 108.]Search in Google Scholar
[MANKO M., 2015, Analiza oddziaływania ryzyka kraju na ryzyko systemowe w UGW (Analysis of Country Risk Impact on Systemic Risk in UGW), Uniwersytet Ekonomiczny w Krakowie, Krakowska Szkoła Biznesu, Kraków (typescript) (online: http://www.ksb.biz.pl/Content/uploaded/files/stud%20podypl/mechanizmy%20euro%20-%20prace/Maryan%20Manko.pdf).]Search in Google Scholar
[MALARA Z., KROIK J., MALARA M.J., SOBOL-WOJCIECHOWSKA J., 2013, Ryzyko perspektywa jakościowa (Risk of Quality Perspective), Oficyna Wydawnicza Politechniki Wrocławskiej, Wrocław. ]Search in Google Scholar
[MATYSIK S., 1973, Prawo morskie (Maritime law), Wrocław-Warszawa-Kraków-Gdańsk, Wydawnictwo Uniwersytetu Gdańskiego, pp. 119-120. ]Search in Google Scholar
[MIKLEWSKA A. (red.), 2001, Leksykon Finansów (Finance Lexicon), Polskie Wydawnictwo Ekonomiczne S.A. Warszawa. ]Search in Google Scholar
[MONKIEWICZ I. (red.), 2000, Podstawy ubezpieczeń (Insurancebasics), Poltext, Warszawa. ]Search in Google Scholar
[MOWBRAY A.H., BLANCHARD R.H., 1961, Insurance, its Theory and Practice in the United States, McGraw- Hill, New York, 5th edithion, pp. 6,7. ]Search in Google Scholar
[NIEDZIÓŁKA P., 2002, Zarządzanie ryzykiem stopy procentowej w banku (Management of interest rate risk in the bank), DIFIN, Warszawa, pp. 23-28. ]Search in Google Scholar
[PATTERSON R., 2011, Kompendium terminów z zakresu bankowości po polsku i angielsku (Compendium of Banking in Polish and English), Wydawnictwo Zielona Sowa Sp. z o.o. Kraków. ]Search in Google Scholar
[PATTERSON R., 2015, Kompendium terminów z zakresu bankowości po polsku i angielsku (Compendium of Banking in Polish and English), Ministerstwo Finansów w porozumieniu z the Swiss- PolishCooperation Program - sprawozdawczość finansowa Programu Pomoc Techniczna (FRTAP), Warszawa (online: http://www.mf.gov.pl/documents/764034/1399171/Glosariusz+SPPW+-+Bankowosc.pdf).]Search in Google Scholar
[PAVLOV A., STEINER E., WACHTE R S., 2015, Macroeconomic Risk Factors and the Role of Mispriced Credit in the Returns from International Real Estate Securities, Real Estate Economics, Vol. 43 (1), pp. 241-270. 10.1111/1540-6229.12084]Search in Google Scholar
[PAYANT W.R., 1992, Understanding Interest Rate Risk, Bank Management, pp. 70-73. ]Search in Google Scholar
[PERROW CH. 1987, Normale Katastrophen. Die unvermeidbaren Risiken der Großtechnik, Frankfurt AM Main/New York. ]Search in Google Scholar
[PFEFFER I., 1956, Insurance and Economic Theory, Homewood, p. 42. ]Search in Google Scholar
[RISK MANAGEMENT GUIDELINES FOR DERIVATIVES, 1994, Basle Committee on Banking, Basle, pp. 11-17.]Search in Google Scholar
[SCHIENBECKH., 1987, Ertragsorientiertes Bank management, Wiesbaden, p. 12. ]Search in Google Scholar
[SMITH S.D., SPUDECK R., 1993, Interest Rates. Principles and Applications. The Dryden Press, pp. 313-314. ]Search in Google Scholar
[ŚLIWIŃSKID., 2006, Istota i rodzaj ryzyka walutowego (The essence and types of currency risk), Inwestycje.pl SA,Szczecin (typescript) (online: http://waluty.com.pl/pdf/ryzyko.pdf). ]Search in Google Scholar
[TARCZYŃSKI W., MOJSIEWICZ M., 2001, Zarządzanie ryzykiem (Risk management), PWE, Warszawa, pp. 3-20. ]Search in Google Scholar
[TUCZKO J., 2001, Zrozumieć finance firmy(Understand Finances of the company), Difin, Warszawa. ]Search in Google Scholar
[VAUGHAN E.J., 1992, Fundamentals of Risk and Insurance, John Willey & sons, New Yourk, Chichester, Brisbane, Toronto, Singapore, sixth edition, pp. 7, 15. ]Search in Google Scholar
[VOTSIS A., PERRELS A., 2016, Housing Prices and the Public Disclosure of Flood Risk: A Difference-in- Differences Analysis in Finland, Journal of Real Estate Finance and Economics,vol. 53, pp. 450-471. 10.1007/s11146-015-9530-3]Search in Google Scholar
[WILLET A.H., 1951, The Economic Theory of Risk Insurance, Filadelfia, p. 6. 10.9783/9781512808995]Search in Google Scholar
[WOJCIECHOWSKI I., 1999, Opcje na wybrane instrumenty finansowe jako narzędzia ograniczające ryzyko (Options for Selected Financial Instruments as Risk Mitigation Tools), Kantor Wydawniczy Zakamycze, Zakamycze, p. 31.]Search in Google Scholar
[ZARZECKI J. (red.), 2003, Finanse (Finances), Wyd. Wyższej Szkoły Ekonomicznej w Białymstoku. Białystok.]Search in Google Scholar
[ZIELENIEWSKI J., SZCZYPIORSKI S., 1963, Zasady organizacji i techniki handlu zagranicznego (Principles of foreign trade organization and technology), PWE, Warszawa, p. 38. ]Search in Google Scholar
[http://www.rozumiemowu.pl/ryzyko-handlowe/]Search in Google Scholar
[https://www.nbportal.pl/wiedza/artykuly/na-poczatek/ryzyko_w_bankach]Search in Google Scholar
[http://www.exporter.pl/zarzadzanie/eksport/5ryz_handlowe.html]Search in Google Scholar