<Record><identifier xmlns="http://purl.org/dc/elements/1.1/">URN:NBN:SI:doc-M7XNPC73</identifier><date>2026</date><creator>Škrk, Martin</creator><relation>documents/doc/M/URN_NBN_SI_doc-M7XNPC73_001.pdf</relation><relation>documents/doc/M/URN_NBN_SI_doc-M7XNPC73_001.txt</relation><format format_type="extent">1 spletni vir (1 datoteka PDF (15 str.))</format><identifier identifier_type="COBISSID">281713667</identifier><identifier identifier_type="ISBN">978-961-7230-43-7</identifier><identifier identifier_type="URN">URN:NBN:SI:doc-M7XNPC73</identifier><language>eng</language><coverage coverage_type="spatial">Evropska unija</coverage><publisher publisher_location="Ljubljana">Banka Slovenije</publisher><source>knjige</source><rights>InC</rights><subject language_type_id="slv">bančni nadzor</subject><subject language_type_id="slv">Banke</subject><subject language_type_id="slv">centralne banke</subject><subject language_type_id="slv">elektronske knjige</subject><subject language_type_id="slv">Finančne institucije</subject><subject language_type_id="slv">kultura tveganja</subject><subject language_type_id="slv">Kurporativno upravljanje</subject><subject language_type_id="slv">Upravljanje tveganj</subject><title>Risk appetite frameworks for central banks</title></Record>