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Currency competition in the Eurozone: an answer to the crisis
A puzzle of excessive equity risk premium and the case of Poland
Towards data oriented analysis of the art market: survey and outlook
The effects of bankruptcy on the predictability of price formation processes on Warsaw’s stock market
Low interest rates - do they revise household saving motives in the Euro area?
Ownership and capital structure of Pakistani non-financial firms
The dividend policy of real estate development companies listed on the WSE in Poland
The new institutional economics - main theories
Financialization of the economy and the need for personal finance advisory services
Financialisation as a result of the network economy\'s development
Cross-sectional returns with volatility regimes from a diverse portfolio of emerging and developed equity indices
The development of payment services as an example of disintermediation in the financial system
Financial sector transformation and income inequality– an empirical analysis
Financialization and the cultural attitude of Polish society towards the banking sector
Should the paradigms of banking theory be redefined based on banking practice? (thoughts on the polarity of opinion concerning the polish banking sector)
The impact of the tax system structure on the narrowing of income disparities in OECD countries
Crowdfunding as a mechanism for financing small and medium-sized enterprises
Log-periodic power law and genelized hurst exponent analysis in estimating an asset bubble bursting time
Financial networks as a source of systemic instability
Selection and assortment of the variables describing the relationship between the economy and the general government sector size by application of the LEM2 algorithm
Can increasing dividends be a symptom of the financialization of the Polish economy?
Financialization and income inequality selected European countries 2004-2013
Financialization and commodity market stability
The relationship between concentration of the banking sector in Poland and its soundness
Measurement of intellectual capital as exemplified by methods of groups based on the ROA indicator and on market capitalization
Is there any relation between intellectual capital and the capital structure of a company? The case of Polish listed companies
The influence of currency risk upon the market value of commercial banks operating in the Polish banking sector
R&D tax incentives for innovation and managerial decisions
Venture capital and private equity investment strategies in selected European countries
Studies of firm capital structure determinants in Poland: an integrative review
High propensity to pay dividends by state-controlled companies in Poland. Tunneling or maturity effect?
Data mining approach in determining the relationships between the economy and the general government sector
Art as an investment in Poland - the first 20 years after the collapse of the central planning economy
The role of a company’s internal control system in fraud prevention
Gant Development S.A. – the effectiveness of bankruptcy prediction models in case of sudden bankruptcy. Case study
PAPER PROFITS FROM VALUE, SIZE AND MOMENTUM: EVIDENCE FROM THE POLISH MARKET
Basel’s Forgotten Pillar: The Myth of Market Discipline on the Forefront of Basel III
Day-of-the-week effect among the smallest enterprises listed on WSE
Concentration of credit exposure as a significant source of risk in banking activities: the idea and methods of estimation
The implementation of variable costing in the management of profitability of sales in trade companies
Venture capital and private equity investment preferences in selected countries
Measurement and analysis of the efficiency of human capital in a small enterprises in Poland
Is Poland still attractive for foreign investments?
Requirements for intermediaries and advisors in the area of mortgages resulting from Mortgage Credit Directive – implications for Poland
Commercialization as a recommended approach to hospital restructuring. Case study of Łańcut Medical Center
Causes of the outbreak of the eurozone crises: the role of the USA and the European Central Bank monetary polic
Disclosures on control over financial reporting: the reporting practice of banks listed on the Warsaw Stock Exchange
Sovereign wealth funds in central and eastern Europe: scope and methods of financial penetration
The profitability of following analyst recommendations on the Polish stock market
Selected techniques of detecting structural breaks in financial volatility
Estimation of the willingness-to-pay for preserving football arena in Gdansk
The momentum effect exemplifies the influence of investors\' irrational behaviour on prices of shares and stocks: an analysis of the momentum effect on the Warsaw Stock Exchange
Influence of the endowment effect on the valuation of goods. An experimental verification
Short-term currency in circulation forecasting for monetary policy purposes – the case of Poland
Internal funding in the dairy industry companies in the Podlaskie province in 2010-2012
THE ECONOMIC CONSEQUENCES OF CHANGES IN THE FUNCTIONING OF OPEN PENSION FUNDS
INCOME TAXATION VERSUS MANAGERIAL DECISIONS
TRANSACTION COSTS AND MARKET IMPACT IN INVESTMENT MANAGEMENT
IMPLEMENTATION OF THE DELPHI TECHNIQUE IN FINANCE
VOLUNTARY RISK REPORTING IN ANNUAL REPORTS – CASE STUDY OF THE PRACTICES OF POLISH PUBLIC COMPANIES
HUMAN CAPITAL FINANCIAL RESULTS OF AN ENTERPRISE – RESEARCH ON THE BEST EMPLOYERS IN POLAND
THE EXTENT OF COST DISCLOSURE IN TRADE COMPANY ANNUAL REPORTS ON THE EXAMPLE OF THE IT BRANCH – PILOT STUDIES
ARE THERE TWO TYPES OF BUSINESS CYCLES? A NOTE ON CRISIS DETECTION
INCOME TAXES, PUBLIC FISCAL POLICY AND ECONOMIC GROWTH
SELECTED EFFECTS OF FINANCING OF AGRICULTURAL HOLDINGS IN NEW MEMBER STATES OF THE EUROPEAN UNION
INNOVATION TYPES AT SMEs AND EXTERNAL INFLUENCING FACTORS
RETURN ON CURRENT ASSETS,WORKING CAPITAL AND REQUIRED RATE OF RETURN ON EQUITY
DEBT COLLECTION PREVENTION MANAGEMENT OF RECEIVABLES/DEBTS IN A COMPANY
ECONOMIC REGIME AND FOREIGN DIRECT INVESTMENT IN UKRAINE
ESTIMATION OF RISK NEUTRAL MEASURE FOR POLISH STOCK MARKET
BAYESIAN APPROACH TO THE PROCESS OF IDENTIFICATION OF THE DETERMINANTS OF INNOVATIVENESS
ANALYSIS OF THE PRIVATIZATION PROCESS IN POLAND IN THE YEARS 2008-2011 – OUTCOMES AND PROSPECTS
SELECTED CONSTRAINTS TO DEVELOPMENT OF ENTREPRENEURSHIP IN POLAND
INFLUENCE OF THE ECONOMIC AND FINANCIAL CONDITION OF STRATEGIC SHAREHOLDERS UPON THE MARKET VALUE OF COMMERCIAL BANKS IN THE POLISH BANKING SECTOR
FUZZY NUMBERS IN VALUATION OF REAL INVESTMENT PROFITABILITY
CORPORATE BOND MARKET OF REAL ESTATE DEVELOPMENT COMPANIES IN POLAND
EXPENDITURES ON HEALTHCARE VERSUS HEALTH CONDITIONS AMONG NEW MEMBER COUNTRIES OF THE EU
SIGNIFICANCE OF THE ACCOUNTING PARADIGM IN THE DECISION-MAKING PROCESS IN COMPANY MANAGEMENT (BASED ONIAS ACCOUNTING PRACTICES IN POLAND AND OTHER COUNTRIES)
THE IMPORTANCE OF PHILANTHROPIC ACTIVITY AND GOVERNMENT SOCIAL WELFARE FOR SOCIETY AND THE ECONOMY
ECONOMIC RELATIONS BETWEEN PERSONAL AND CORPORATE INCOME TAX
THE LOW PRICE EFFECT ON THE POLISH MARKET
THE ROLE OF LOCAL GOVERNMENT IN THE PROCESS OF ENTREPRENEURSHIP DEVELOPMENT
FORECASTING LIQUIDITY IN TRADITIONAL AND TECHNOLOGY-BASED SECTORS – THE CASE OF POLAND
POLITICAL RISK ON THE FINANCIAL MARKET The problem of adequate scientific assessment of business operations - the naivety of economists
UNEVEN REGULATORY TREATMENT OF DIFFERENT FUNDED POSITIONS – REGULATORY ARBITRAGE OPPORTUNITY
THE USE OF EXCHANGEABLE BONDS DURING THE PRIVATIZATION PROCESS
THE USE OF MARKETING INDICATORS TO MEASURE AND MONITOR THE EFFECTS OF IMPLEMENTING THE CONCEPT OF USER-DRIVEN INNOVATION
MEDICAL ENTITIES –FINANCING TYPES AND SOURCES IN LIGHT OF THE ACT ON MEDICAL ACTIVITY
ENDOGENOUS OR EXOGENOUS INNOVATION DEVELOPMENT IN INDUSTRY ON REGIONAL LEVEL?
WORKING CAPITAL MANAGEMENT, PROFITABILITY AND RISK – ANALYSE OF COMPANIES LISTED ON THE WARSAW STOCK EXCHANGE
THE ROLE OF DEBT CAPITAL IN CORPORATE FINANCING – OVERVIEW OF SELECTED SURVEYS
INTERGOVERNMENTAL FISCAL RELATIONS. THEORETICAL ASPECTS AND POLAND’S EXPERIENCE
THE ROLE OF CULTURE IN ACCOUNTING IN THE LIGHT OF HOFSTEDE’S, GRAY’S AND SCHWARTZ’S CULTURAL DIMENSIONS THEORIES – A LITERATURE REVIEW
DIVIDENDS AND EARNINGS QUALITY IN POLAND
INTEGRATED IT SYSTEMS AND THEIR INFLUENCE ON MANAGING THE FINANCES
DETERMINANTS OF COMMERCIAL BANK LIQUIDITY IN HUNGARY
MULTIANNUAL FINANCIAL PERSPECTIVE AS A TOOL OF LOCAL GOVERNMENT UNIT DEVELOPMENT
PUBLIC FINANCING OF HEALTHCARE SERVICES
OWNERSHIP STRUCTURE AND COMPANY PERFORMANCE – RESEARCH AND LITERATURE REVIEW
USE OF STATISTICAL METHODS IN DETECTING ACCOUNTING ENGINEERING ACTIVITIES (AS EXEMPLIFIED BY THE ACCOUNTING SYSTEM IN POLAND) – SECOND PART: EMPIRICAL ASPECTS OF ANALYSIS
HEALTHCARE EXPENDITURES VS. HEALTH OF THE POPULATION
EFFECTIVE SCHEMES OF FINANCING MERGERS AND ACQUISITIONS OF INTERNATIONAL CORPORATIONS
REDISCOVERING MISES-HAYEK MONETARY AND BUSINESS CYCLE THEORY IN LIGHT OF THE CURRENT CRISIS: CREDIT EXPANSION AS A SOURCE OF ECONOMIC BOOM AND BUST
CHANGE OF THE ORGANISATIONAL AND LEGAL FORM OF INDEPENDENT PUBLIC HEALTHCARE CENTRES (SPZOZ) AND CONSEQUENCES FOR FINANCING HEALTHCARE ENTITY ACTIVITIES
THE INTELLECTUAL CAPITAL PERFORMANCE OF POLISH BANKS: AN APPLICATION OF VAIC™ MODEL
ANALYSIS OF POLISH HEALTHCARE SYSTEM FINANCING IN 2000-2009
CORPORATE SOCIAL RESPONSIBILITY AS A FACTOR INFLUENCING THE DEVELOPMENT OF SOCIAL ACCOUNTING AND ASSESSMENT OF EMPLOYERS
USE OF STATISTICAL METHODS IN DETECTING ACCOUNTING ENGINEERING ACTIVITIES (AS EXEMPLIFIED BY THE ACCOUNTING SYSTEM IN POLAND) – FIRST PART: THE THEORETICAL
CORPORATE DEBT AND CRISIS SEVERITY IN EUROPE
BANKING RETAIL CONSUMER FINANCE DATA GENERATOR – CREDIT SCORING DATA REPOSITORY
PRIVATE HEALTH INSURANCE AS A SOURCE OF FINANCING THE HEALTHCARE SYSTEM IN POLAND
REVIEW OF FDI THEORY IN THE KNOWLEDGE–INTENSIVE ECONOMY
THE USE OF A VALUE AT RISK MEASURE FOR THE ANALYSIS OF BANK INTEREST MARGINS
SECURITIZATION AS A TOOL OF BANK LIQUIDITY AND FUNDING MANAGEMENT BEFORE AND AFTER THE CRISIS: THE CASE OF THE EU
THE ROLE OF ACCOUNTING ENGINEERING IN SHAPING THE BALANCE POLICY OF A COMPANY
DETERMINANTS OF CONSTRUCTION FOR AN INFORMATION SYSTEM SUPPORTING INNOVATION MANAGEMENT
DIVERSIFICATION OF UNIVERSITY INCOME – POLISH PRACTICE AND INTERNATIONAL SOLUTIONS
FOREIGN EXCHANGE MARKET EFFICIENCY. EMPIRICAL RESULTS FOR THE USD/EUR MARKET
DEMAND FOR FINANCIAL INFORMATION IN SMALL BUSINESS MANAGEMENT. EMPIRICAL STUDY
SEEKING THE DIVERSIFICATION BENEFITS WITH FOREIGN EQUITIES AND COMMODITIES – THE CASE OF POLISH INVESTOR
MODEL OF ACCOUNTING ENGINEERING IN VIEW OF EARNINGS MANAGEMENT IN POLAND
THE MISINFORMATION EFFECT IN FINANCIAL MARKETS – AN EMERGING ISSUE IN BEHAVIOURAL FINANCE
CONSTRUCTING ACCOUNTING UNCERTAINITY ESTIMATES VARIABLE
PREFERENCES AND THE LEVEL OF SATISFACTION FROM THE PROVISION OF INSURANCE SERVICES IN ACTIVITY OF THE LGUS ON A MUNICIPAL LEVEL IN PODKARPACKIE VOIVODSHIP
IMPLEMENTATION OF AN ERP PACKAGE AND ITS EFFECT ON THE MANAGEMENT ACCOUNTING SYSTEM – AUTHOR’S OWN RESEARCH INTO ENTERPRISES IN POLAND
THE RELATIONSHIP BETWEEN ECONOMIC VALUE ADDED AND CASH CONVERSION CYCLE IN COMPANIES LISTED ON THE WSE
THE INFLATION IMPACT OF SELECTED EUROPEAN UNION MEMBERS ON POLISH INFLATION
EQUITY SHARES EQUATING THE RESULTS OF FCFF AND FCFE METHODS
RULES OF CONTRACTING DEBT BY TERRITORIAL SELF-GOVERNMENT UNITS
REAL OPTIONS COMPARED TO TRADITIONAL COMPANY VALUATION METHODS: POSSIBILITIES AND CONSTRAINTS IN THEIR USE
DIAGNOSIS CONCERNING THE FINANCIAL KNOWLEDGE OF LOCAL GOVERNMENT UNITS (LGUS)
ARIMA-GARCH MODELS IN ESTIMATING MARKET RISK USING VALUE AT RISK FOR THE WIG20 INDEX
RESEARCH INTO THE FINANCIAL KNOWLEDGE OF EMPLOYEES OF LOCAL GOVERNMENT UNITS AT COMMUNE LEVEL IN PODKARPACIE
DETERMINANTS OF BANKS’ COMPETITIVENESS IN LOCAL FINANCIAL MARKETS
MARKET FOR INVESTMENT BANKING PRODUCTS IN MODERN ECONOMY
HOUSING MARKETS IN SELECTED EUROPEAN COUNTRIES AND THE USA
THE INFLUENCE OF LIQUIDITY ON PROFITABILITY OF POLISH CONSTRUCTION SECTOR COMPANIES
EU SINGLE FINANCIAL MARKET – PROSPECTS FOR CHANGES
INSURANCE AND THE CORPORATE COST OF CAPITAL
ECONOMIC CONDITIONS OF GOVERNMENT EXPENDITURE ON EDUCATION IN HIGHER EDUCATION SYSTEM
THE ANALYSIS OF TRAINING NEEDS IN PUBLIC INSTITUTIONS OPERATING IN HEALTH CARE SECTOR IN THE PODKARPACIE PROVINCE
REVIEW OF CURRENT TRENDS IN SHAPING FINANCIAL KNOWLEDGE
FINANCIAL KNOWLEDGE AS AN ENDOGENOUS SOURCE OF THE LGUs’ POTENTIAL
KNOWLEDGE MANAGEMENT IN THE LGU’s
Working Capital Management in Manufacturing Enterprises
Business Valuation Engagement Letter – Regulations Adopted in Selected Standards
Health Care Expenditure and the State of Health Care Sector in Selected European Union Countries
Share Repurchase as a Form of Payout for Shareholders
The Use of Behavioral Finance in the Wealth Management Process
R&D Disappearance in the Period of Economic Transformation in Poland
Credit Market Imperfections in the Theory of Credit Rationing
The Use of Capital Market Instruments in Investment of European Insurance Companies
Ukrainian Companies on the Warsaw Stock Exchange: Current State and Future Trends
Applying The Ward Method in the Analysis of Financial Situation of Commercial Banks
Financial Innovations and Their Role in the Modern Financial System – Identification and Systematization of the Problem
Conditions and Strategies of Creating Company Value on the Basis of Corporate Social Responsibility – Synthetic Presentation
Prospects of Poland’s Socio-Economic Development in Light of Statistical Data
The Individual Taxpayer Utility Function with Tax Optimization and Fiscal Fraud Environment
Types of Private Financing of Medical Care by Patients in Poland
Company Valuation. How to Deal with a Range of Values?
Diversification of Investment Portfolios as an Instrument Used by Institutional Investors in the Capital Management Process
Modeling Stock Market Indexes with Copula Functions
The Relationship Between Savings and Economic Growth in Countries with Different Level of Economic Development
Selected Issues of Personal Income Taxation Harmonization
OUTSORCING OF SERVICE AREAS AS A METHOD OF INCREASING THE EFFECTIVENESS OF A COMPANY
Free Movement of Money in the European Union – the Role of European Court of Justice in the Formation of the Free Movement of Capital and Payments
SELECTED LEGAL ASPECTS OF MORTGAGE BONDS IN EUROPEAN LAW, WITH EMPHASIS ON GERMAN LEGISLATION
THE IMPACT OF FOREIGN STOCK EXCHANGES ON THE MAIN STOCK EXCHANGE INDEXES IN POLAND
REVIEW OF BEST INTERNATIONAL PRACTICE IN OPERATIONAL RISK MANAGEMENT
THE ATTRACTIVENESS OF POLISH CITIES FOR ATTRACTING OUTSOURCING AND THE ANALYSIS OF BENEFITS FOR THE REGION
USING THE VALUE AT RISK METHOD IN ESTIMATION OF INVESTMENT RISK IN THE METALLURGICAL SECTOR COMPANIES
THE ACTIVITY OF FOREIGN VERSUS LOCALLY - OWNED COMPANIES: FINANCIAL PERSPECTIVE
THE NETWORK CONNECTIONS AMONG ENTERPRISES
THE SPECULATION BUBBLE ON THE REAL ESTATE MARKET IN THE USA IN VIEW OF SELECTED OVERINVESTMENT THEORIES
QUASI-BETA INDEX: MULTIDIMENSIONAL COMPARATIVE ANALYSIS APPLICATION TO DETERMINE RISK INDEX FOR STOCK INVESTMENTS ON THE WARSAW STOCK EXCHANGE
ITERATIONS IN COMPANY VALUATION – EMCINSMED PLC.
ANALYSIS OF SOCIALLY RESPONSIBLE INVESTMENTS (SRI) ON THE BASIS OF GLOBAL 100 RANKING
MARKET-BASED MEASURES OF BUSINESS VALUE CREATION AND VALUE FOR SHAREHOLDERS
ANALYSIS OF BANKS’ INTEREST MARGINS
ASSESSMENT OF PROFITABILITY AND RISK OF BANKS LISTED ON THE WARSAW STOCK EXCHANGE IN 2004-2009
THE PROBLEM OF INFORMATIVE USEFULNESS OF RESIDUAL INCOME. RI(BV) RADAR CONCEPT
THE ANALYSIS OF AN INVESTMENT RISK WITHIN EMERGING CAPITAL MARKETS. THE CASE OF THE WARSAW STOCK EXCHANGE
THE POST-CRISIS WORLD: THE WORLD ECONOMY IN THE AFTERMATH OF THE GREAT FINANCIAL DOWNTURN
Evaluation of the Impact of Financial Crisis on the Condition of Public Finances in Poland
Private Sources of Financing Higher Education - Selected Socio-Economic Dilemma
Role of Poland in Development of Outsourcing Services from BPO
Dynamic Financial Analysis in the Insurance Company - Conception, Process and Application
Analysis of the Structure of Investors on the Warsaw Exchange Considering WIG20 Fluctuations
Wealth of the Nations Measurement Methods in the Face of Changing Global Social-economic Environment
Factors Influencing the Financial Liquidity of the Food Industry in Poland
Business Innovation as a Key Element of Competitiveness of Polish Economy
Eastern European Equity Markets and the Subprime Crisis. Does Emerging Europe Still Offer Diversification Benefits?
NewConnect Market in Poland Against Other European Alternative Markets
Contraction of Health Care Services Provision as a Source of Health Care Facilities Financing
Knowledge of the Characteristics and Demand for Venture Capital Among Students in Podkarpacie
Forecasting Business Bankruptcy with the Use of Soft Computing
Volatility – Good or Bad? Analysis of the Polish Stock Market
Business Valuation Standards – a New Approach for Poland
Comparative Analysis of the Term Structure of Interest Rates
The Role of Enterprise Risk Management in the Face of Increasing External Risk Factors
The Influence of Financial Crisis on Insurance Sales – Comparison of Actual Data and Financial Intermediary Opinions
Comperative Study of Economic Budget of Podkarpacie in Gminas Between the Years 1999-2008
Short-selling of Equities. Advantages, Disadvantages and Using of This Investment Technique on the Warsaw Stock Exchange
Cost of capital calculation in emerging markets: rectification of the beta estimates
The activity of the central bank and the views of the Austrian school of economics
Practical implementation of methods for determining prices of services
Regional policy and the development of small and medium enterprises
The role of the European Union Parliament in shaping EU finances
Evaluation of investment as a tool for financial controlling
Does the Efficient Market Hypothesis have any implications for individual investors?
Private Equity Funds in time of crises
The assessment of multi-channel distribution model of banking services in Poland
Expenditures on Research and Development in Poland and other countries - diagnosis and attempt evaluation
The Role of the European Central Bank in the Monetary Integration of European Union Member States
European Union Funds as a source of financing of investment in companies
Globalization and evolving nature of financial crises
United States and global financial crisis
Derivative financial instruments and causes of the current crisis
Decline of securities markets amidst the global financial crisis
Financial innovations as a cause of the crisis on the international markets
Poland\'s accession to the euro zone in the context of the current financial crisis
Supervision of the financial market. Selected issues in transborder supervision
The public sector in Poland. Efficiency in a time of crisis
Budgetary effects of world financial system crisis
Taking advantage of the crisis to strenghten a firm\'s position on international markets. The case of Transsystem SA
The Process of Asset-Backed Securitization in the Context of Subprime Mortgage Crisis
Working capital and the financial liquidity of land poviats
Funding higher education in Poland - the stimulation of development or retrogression?
Aviation disasters and acts of terror effects for the markets and aviation companies
Structural Characteristics of the Spanish Economy
Legal and cost aspects of the euro introduction into the payment systems of the new Member States
SEPA – next stage in European monetary integration after euro launch
Credit default swaps
The Polish capital market vs. hypothetically efficient-markets – a verification of the paradigm and the areas where the variations of capital values may be sought
Controllability of various versions of residual income
The account of profit and loss according to Uniform System Accounts for the Lodging Industry
Credibility of social responsibility reports in the context of investor relations
Offshoring and value based management
Youth entrepreneurship vs. demand for seed capital
Financial structure of French small and medium-sized enterprises – empirical results
Value Based Management - logic and rules
Personalizacja w pomiarze ryzyka rynkowego
An attempt to determine the factors which influence the opinions of EU inhabitants on the introduction of the euro
The hot hand effect in the mutual funds market in Poland
Towards Global Accounting Standards - MSSF and US GAAP
E-business - a look at strategy
Transnational corporations and the present stage of globalization
Factors in the creation of commercial bank value
Financial risk management – a new kind of banking services
Analysis of the profitability of economic entities based on the universal
European Investment Bank in the institutional system of the E.U.
VIW20 – the Concept of a Volatility Index for the Polish Equity Market
Emerytury fundowane z zakładów emerytalnych (główne problemy projektowania systemu)
The role of the Insurance Ombudsman
Why the retirement system in Poland had to be reformed
Polish financial sector in the transformation period: financial sector integration with the EU and concluding remarks
Ways of Financing the Development of New Business Strategies from Public and EU Funds
Private equity in innovative SME financing
Polish financial sector in the transformation period: foreign direct investments
Funding of the EU Common Foreign and Security Policy
The basic relations of local government with small and medium-sized enterprises
Bariery rozwoju rynku ubezpieczeń w Polsce
Currency and Interest Rate Swap in hedging
Polish financial sector in the transformation period: from a national to regional perspective
The role of the employer in funding the market of medical services
Trzecie Forum Ekonomiczne w Łańcucie
European Union Regional Policy Funding and the Challenges of the 21st Century
The outline of health care system funding in Poland
Budgeting of public relations projects
The Securities Market in Central Europe
Reciprocal agreements
Cash - non-managed component of company assets
Selected issues in the evaluation of economic-financial
The right of the patient to health care services funding in the EU states
The quality, capacity and usefulness of financial information in the conceptual assumptions of the International Accounting Standards
Capital Market Anomalies in the Light of Market Efficiency Hypothesis
The Book – to – Market Effect on Warsaw Stock Exchange
Small and Medium Enterprises – Selected Issues
The role of venture capital/private equity funds in innovation activity of businesses. Results of empirical reserach
Investment Funds in Poland and the USA – Selected Aspects
Health Care System Funding in Selected European Union States
Enterprise risk management and its influence on investment profitability analysis
CHARAKTER PRAWNY KONTRAKTU SWAP
The meaning of the financing „golden” rules in the creation the capital structure in companies
Zarządzanie ryzykiem walutowym w przedsiębiorstwach Wyniki projektu badawczego na 1000 największych polskich przedsiębiorstw
Relations between monetary and fiscal policies in Poland in the light of international standards of fiscal transparency
IPO market - selected items
Racjonalizacja wydatków socjalnych jako element reformy finansów publicznych.
Czego możemy się nauczyć z doświadczeń polityki gospodarczej i społecznej Władysława Grabskiego?
Is Fibonacci a Real Discoverer of a Present Value Criterion?
Kierunki inwestycyjne powiększające grupę lojalnych klientów majątkowych zakładów ubezpieczeń1
MEANDRY PRYWATYZACJI
Finansowa ocena decyzji menedżerskich
Stopa zwrotu z kapitału przedsiębiorstwa: wybrane zagadnienia
Determinanty polityki finansowej przedsiębiorstwa
Open-product architecture Inspirująca koncepcja oferowania produktów i usług finansowych
Pułapka deficytu strukturalnego
Niezależność NBP wobec przystąpienia Polski do strefy euro
Współczesne finanse – wiele pytań, wiele kontrowersyjnych teorii i koncepcji
Struktura dochodów w samorządzie gminnym na podstawie regulacji wprowadzanych ustawą z 13 listopada 2003 r. o dochodach jednostek samorządu terytorialnego
Wykorzystanie opcji w zarządzaniu ryzykiem finansowym
Niektóre problemy wyceny firm medycznych
Assessing the financial distress risk of companies operating under conditions of a negative cash conversion cycle
Maximum drawdown measures in hedge fund efficiency appraisal
Value added statement - a relevant instrument for integrated reporting
Selected effects of financing agriculture from a regional perspective
Analysis of some inner factors affecting the lending rate and commercial bank behavior
Lekcje z historii, wyzwania dla ekonomii
Skuteczność polityki pieniężnej NBP w aspekcie celu inflacyjnego
Zarządzanie kosztami działania banku komercyjnego
Przyczyny przejęć kapitałowych i prawne sposoby ich zapobieganiu
Bariery rozwoju rynku kredytów hipotecznych udzielanych
Nadpłynność krajowego sektora banków komercyjnych w roli czynnika zakłócającego transmisję impulsów polityki pieniężnej do sfery realnej
Zastosowanie metody Value at Risk w kalkulacji wyniku odsetkowego banku
ABC skutecznego zarządzania ryzykiem
Polska zadłużona po uszy
Ryzykowne preferencje inwestorów
Lokaty mniej atrakcyjne
Wartości niematerialne i ich wycena w świetle standardów rachunkowości amerykańskiej (US GAAP) oraz Międzynarodowych Standardów sprawozdawczości Finansowej (MSSF)
O modulacji pewnych cech opcji ze wzgledu na: rozkład zródła ryzyka i (de)rekursywacje
Prywatne dobrowolne ubezpieczenia zdrowotne
Zarządzanie ryzykiem finansowym – nowy rodzaj usług bankowych dla klientów korporacyjnych
Czynniki kreowania wartości banku komercyjnego
How much trade and FDI theories help in analyzing competitiveness-related issues?
How to attract FDI and maximize its benefits: part II
Polish financial sector in the transformation period: pension reform and pension funds development
Finansowanie świadczeniodawców rynku usług medycznych w Polsce
Wskaźniki zarządzania przez wartość banku komercyjnego Aspekty teoretyczno-metodyczne
Wizualizacja procesów dyskontowania
Dynamiczny rozwój
CONTROL PREMIUM AND MINORITY DISCOUNTS IN POLISH BUSINESS VALUATION PRACTICES – EVIDENCE FROM RESEARCH
MONETARY POLICY IN POLAND – HOW THE FINANCIAL CRISIS CHANGED THE CENTRAL BANK’S PREFERENCES
THE COLOR OF GOVERNMENT MONEY. DO INVESTORS DIFFERENTLY VALUE THE INVESTMENT OF SOVEREIGN WEALTH FUNDS?
PUBLIC ISSUE OF BANK BONDS CASE STUDY OF BANK POCZTOWY S.A.
ACCOUTING AND MARKETING DIMENSIONS OF INNOVATIONS
EXCHANGE TRADED COMMODITIES AS A CATEGORY OF INNOVATIVE PRODUCTS ON EUROPEAN FINANCIAL
EVALUATION OF THE FACTORS INFLUENCING BUSINESS BANKRUPTCY RISK IN POLAND
TAX INCENTIVES AS AN INSTRUMENT ATTRACTING INVESTORS TO SPECIAL ECONOMIC ZONES
UNDERSTANDING FINANCIALIZATION: STANDING ON THE SHOULDERS OF MINSKY
HOUSEHOLD FINANCIALIZATION – SENSE AND SCALE OF THIS PHENOMENON ON THE EXAMPLE OF POLAND
CHALLENGES FOR CENTRAL BANKS IN A CHANGING PAYMENTS LANDSCAPE
REFLECTIONS ON VERCELLI’S CONCEPTUALIZATION OF FINANCIALIZATION
IS IT WORTH BEING GOOD? – THE EFFICIENCY AND RISK OF SOCIALLY RESPONSIBLE INVESTING IN LIGHT OF VARIOUS EMPIRICAL STUDIES
ANALYSIS OF THE ATTRACTIVENESS OF THE POLISH MARKET FOR VENTURE CAPITAL FUNDS
IMPACT OF A COMPANY’S DIVIDEND POLICY ON THE LIQUIDITY OF SHARES LISTED ON THE WARSAW STOCK EXCHANGE
DEGREE OF CONVERGENCE OF THE EFFICIENCY OF THE POLISH EQUITY INVESTMENT FUNDS OBTAINED WITH MEASURES BASED ON THE SHARPE RATIO
ANALYZING THE LINK BETWEEN AGENCY PROBLEMS, GOVERNANCE AND CONTROL ATTRIBUTES FOR PAKISTAN
THE EFFECT OF FOREIGN EQUITY OWNERSHIP ON CORPORATE SOCIAL RESPONSIBILITY: EMPIRICAL EVIDENCE FROM POLAND
INFORMATION NEEDS OF FINANCIAL MARKET PROFESSIONALS IN THE BIG DATA AND SOCIAL MEDIA ERA. THE EMPIRICAL EVIDENCE FROM POLAND
CHANGING ACTIVITY IN THE CONSTRUCTION SECTOR IN SELECTED STATES 2003-2012
POLISH COOPERATIVE BANKS AS NET LENDERS IN THE MONEY MARKET
THE ATTRACTIVENESS OF FX HOUSING LOANS FOR HOUSHOLDS IN VIEW OF SUPERVISORY ACTIONS IN SELECTED EU COUNTRIES
TRADE CREDIT: A BENEFIT TO GET, A “MUST” TO GIVE? MOTIVES BEHIND TRADE CREDIT USE IN POLAND
CAPITALIZATION AND BANK PERFORMANCE: EVIDENCE FROM NIGERIAN BANKING SECTOR
IMPACT OF FOREIGN OWNERSHIP ON DIVIDEND POLICY IN POLAND
ANALYSIS AND PROFITABILITY ASSESSMENT OF POLISH CONSTRUCTION COMPANIES THREATENED WITH BANKRUPTCY
THRESHOLD THEORY – MODELLING RISK ATTITUDE
THE INFLUENCE OF THE RECENT FINANCIAL CRISIS ON THE FINANCIAL SITUATION OF POLISH LISTED COMPANIES
THE ROLE OF LOAN AND GUARANTEE FUNDS IN FILLING THE FUNDING GAP FOR SMALL AND MEDIUM-SIZED ENTERPRISES
THE IMPACT OF TRADING LIQUIDITY ON THE RATE OF RETURN ON EMERGING MARKETS: THE EXAMPLE OF POLAND AND THE BALTIC COUNTRIES
MANDATORY PENSION FUNDS IN CHILE: DECLINE OF THE ARRANGEMENT?
APPLICATION OF PROBABILISTIC INFERENCE IN DEFINING IMPACT OF THE GENERAL GOVERNMENT SECTOR’S SIZE ON THE ECONOMY AND DETERMINING THE SIZE OF THE SECTOR BY THE ECONOMY IN THE EU
PROVISION OF LOANS AS A STRATEGIC CHOICE OF AN ENTERPRISE
TERMINAL VALUE CALCULATION IN DCF VALUATION MODELS: AN EMPIRICAL VERIFICATION
ANALYSIS OF THE FINANCIAL SITUATION OF SELECTED RESPECT INDEX COMPANIES
INTERNAL AUDIT TOOL FOR MINIMIZING THE RISK OF FRAUD
COMPARATIVE ANALYSIS OF THE KEY FACTORS INFLUENCING HEALTHCARE SYSTEMS OF OECD COUNTRIES
DETERMINANTS OF INVESTMENT DECISIONS ON THE CAPITAL MARKET
INFLUENCE OF STATE PARTICIPATION ON BUSINESS CONDITIONS AND ENTREPRENEURSHIP IN THE EU COUNTRIES OF THE FORMER EASTERN BLOC
ANALYSIS OF SPATIAL HOMOGENEITY OF INTEGRITY STANDARDS IN SELECTED EU OECD COUNTRIES
REGULATIONS AND TECHNOLOGY BEHIND HFT LATENCY, BATCH AUCTIONS AND PAYMENTS FOR ORDER FLOW IN THE US AND EU
TAX EXEMPTIONS IN EXCISE DUTY IN THE CONTEXT OF FISCAL EFFICIENCY
THE SIGNIFICANCE OF OPENNESS AND TRANSPARENCY FOR ACCOUNTABILITY IN PUBLIC FINANCES
COMPARISON OF SEMI-PARAMETRIC AND BENCHMARK VALUE-AT-RISK MODELS IN SEVERAL TIME PERIODS WITH DIFFERENT VOLATILITY LEVELS
CORPORATE INCOME TAX CONTRIBUTION OF THE POLISH FINANCIAL SECTOR
OPENESS AND TRANSPARENCY OF FISCAL REPORTING IN POLAND – ASSESSMENT AND RECOMMENDATION
FINANCING OF SMART GROWTH IN LESS DEVELOPED REGIONS ON THE EXAMPLE OF POLAND
PARTIAL FISCAL DECENTRALIZATION AND LOCAL GOVERNMENT SPENDING POLICY
CORPORATE INCOME TAX RATES IN THE EU MEMBER STATES: WHY LOWER MEANS BETTER
LOCAL TAXES AND FEES AS A SOURCE OF REVENUE FOR POLISH MUNICIPALITIES: SUBSTITUTES OR COMPLEMENTS?
AN ANALYSIS OF CODIFIED CORPORATE GOVERNANCE PRACTICES IN THE BANKING INDUSTRY: THE CASE STUDY OF BANGLADESH
DETERMINANTS OF PUBLIC INDEBTEDNESS IN EUROPEAN UNION COUNTRIES
PRINCIPLE OF VAT NEUTRALITY AND THE REVERSE CHARGE MECHANISM
COMPARISON OF RISK INDEX ESTIMATING METHODS ON THE POLISH FINANCIAL MARKET
A REAL OR A MARGINAL TREND IN PARTICIPATORY BUDGETS IN LOCAL GOVERNMENTS
THE EFFECT OF AN ELECTRONIC EXCHANGE ON PRICES AND RETURN VOLATILITY IN THE FINE WINE MARKET
INVESTMENT STRATEGIES THAT BEAT THE MARKET. WHAT CAN WE SQUEEZE FROM THE MARKET?
CROWDFUNDING AS AN ALTERNATIVE METHOD OF RAISING CAPITAL
THE IMPACT OF QUANTITATIVE EASING ON EMERGING MARKETS – LITERATURE REVIEW
UNDERSTANDING THE INFORMAL ECONOMY IN PRACTICE – EVIDENCE FROM BOSNIA AND HERZEGOVINA
STUDENTS’ ATTITUDES TOWARDS STARTING A BUSINESS, ON THE EXAMPLE OF STUDENTS AT THE UNIVERSITY OF INFORMATION TECHNOLOGY AND MANAGEMENT IN RZESZÓW (POLAND)
FINANCIAL LIQUIDITY AS A FACTOR DETERMINING THE ECONOMIC CONDITION OF COMPANIES ON THE CAPITAL MARKET IN RELATION TO BANKRUPTCY LAW IN POLAND
CORPORATE BANKRUPTCY PREDICTION IN POLAND AGAINST THE BACKGROUND OF FOREIGN EXPERIENCE
EFFICIENCY VS. THE LEVEL OF PER CAPITA INCOME OF URBAN-RURAL MUNICIPALITIES IN POLAND
A MULTI – SPEED EUROPE, AND THE PERIPHERALITY OF POLAND
THE FISCAL EFFECTS OF ECONOMIC IMMIGRATION ON SUBNATIONAL GOVERNMENT FINANCE IN POLAND
THE RATIONALE AND CONDITIONS FOR THE ISSUING OF POLISH TREASURY BONDS ON FOREIGN MARKETS
CROWDFUNDING IN THE WIDER PERSPECTIVE INVESTMENT CROWDFUNDING: COMPETITION BETWEEN REGULATIONS, INSTITUTIONS, AND ECONOMIC FREEDOM
THE MYTH OF AUSTERITY. EMPIRICAL EVIDENCE FROM THE EUROZONE COUNTRIES
REVISION OF PERFORMANCE MEASUREMENT TOOLS AND METHODS
NET WORKING CAPITAL STRATEGY INFLUENCING BETA COEFFICIENT BASED ON COMPANIES LISTED ON NEWCONNECT ALTERNATIVE EXCHANGE IN WARSAW
THE COST OF EQUITY CAPITAL IN STOCK PORTFOLIOS LISTED ON THE WARSAW STOCK EXCHANGE USING THE CLASSIC CAPM
FISCAL INSTRUMENTS SUPPORTING FAMILIES IN POLAND IN THE YEARS 2004-2017
AN ESSENTIAL REVIEW OF INTERNET BANKING SERVICES IN DEVELOPING COUNTRIES
UNDERPRICING ON THE SELECTED EUROPEAN ALTERNATIVE INVESTMENT MARKETS
THE IMPACT OF CRISES ON THE INTELLECTUAL CAPITAL OF COMPANIES IN THE FOOD SECTOR
STOCK-FLOW ADJUSTMENT – ONLY A RESIDUAL VALUE? EVIDENCE FROM EUROPEAN UNION COUNTRIES
CREDIBILITY OF FOREIGN DISCRIMINATORY MODELS IN RELATION TO THE ASSESSMENT OF THE FINANCIAL CONDITION OF POLISH ENTERPRISES. CASE STUDY OF E. ALTMAN’S METHOD
THE POLISH MODEL OF A SOCIAL ECONOMY WITH THE FINANCIAL ASPECTS AND PROFITS AT BACKGROUND – FROM THE GENERAL THEORY TO PRACTICE
DETERMINANTS OF CORPORATE DIVIDEND POLICY IN POLISH COMPANIES LISTED ON WSE
FINANCIAL HEALTH OF SMALL AND MEDIUM-SIZED COMPANIES IN THE VISEGRAD COUNTRIES
SPATIAL AND INSTITUTIONAL ANALYSIS OF THE VOIVODSHIPS EXPENDITURE ON CULTURE IN THE YEARS 2003 – 2015
THE EFFICIENCY OF A SUPPLEMENTARY OLD-AGE PENSION SYSTEM – THE CASE OF POLISH VOLUNTARY PENSION FUNDS
EVALUATION OF THE POSSIBILITIES OF USING THE KNOWLEDGE CAPITAL EARNINGS METHOD (KCETM) FOR DEPICTING INTELLECTUAL CAPITAL IN THE ANNUAL REPORTS OF POLISH COMPANIES
THE PROBLEM OF ALTERNATIVE FINANCING SOURCE MANAGEMENT – THE EQUITY CROWDFUNDING CASE
CHANGES IN THE PRODUCT COSTING PROCESS DRIVEN BY IMPLEMENTATION OF AN INTEGRATED INFORMATION SYSTEM IN A PRODUCTION COMPANY
PROFIT REINVESTMENT: MAIN MOTIVES SUPPORTING FINANCIAL DECISIONS
MISINFORMATION ABOUT DIVIDEND PAYOUTS INFLUENCES TRANSACTION PRICES IN EXPERIMENTAL ASSET MARKETS
USEFULNESS OF SECTORAL MEANS IN FINANCIAL ANALYSES OF ENTERPRISES
ADJUSTING BANK RECRUITMENT TO THE SPECIFICS OF THE MILLENNIAL GENERATION AS CONDITIONS OF ATTRACTIVENESS DECLINE FOR EMPLOYMENT IN THE BANKING SECTOR
CORPORATE DIVERSIFICATION AND CEO COMPENSATION: EVIDENCE FROM THE MODERATING EFFECT OF STOCK OWNERSHIP
MANAGERIAL FACTORS IN INVESTMENT RISK: EVIDENCE FROM POLISH MUTUAL FUNDS
DRIVING FACTORS OF GROWTH EVIDENCE IN THE FOOD AND TEXTILE SECTORS OF PAKISTAN
FRAUD AND BANK PERFORMANCE IN NIGERIA – VAR GRANGER CAUSALITY ANALYSIS
HIDDEN AND FAST LIQUIDITY - HIDDEN ORDERS AND HIGH-FREQUENCY TRADING
SIZE OF BANKS AS A FACTOR WHICH IMPACTS THE EFFICIENCY OF THE BANK LENDING CHANNEL
AN EMPIRICAL INVESTIGATION OF E-BANKING IN THE KURDISTAN REGION OF IRAQ: THE MODERATING EFFECT OF ATTITUDE
THE ROLE OF MAIN MICROECONOMIC FACTORS ON THE STOCK PRICES OF SELECTED SWISS COMPANIES
IMPACT OF OIL PRICES ON STOCK MARKET DEVELOPMENT IN SELECTED OIL EXPORTING SUB-SAHARAN AFRICAN COUNTRIE
DIFFERENCES BETWEEN NEW IFRS AND US GAAP LEASE STANDARDS AND THEIR EFFECTS ON PUBLICLY LISTED COMPANIES
IS BIGGER BETTER? THE IMPACT OF THE SIZE OF BANKS ON CREDIT RATINGS
TRADE FAIR FEE AS A SOURCE OF INCOME FOR THE BUDGETS OF MUNICIPALITIES IN POLAND ON SELECTED EXAMPLES
A CRITIQUE OF BANGLADESHI ADOPTION OF BASEL TYPE CAPITAL REGULATION: AN INSTITUTIONAL VIEW
REGIONAL POLICY FINANCIAL INSTRUMENTS IN THE SZCZECIN METROPOLITAN AREA
REGIONAL DIFFERENTIATION FOR LIFE QUALITY OF THE POPULATION IN UKRAINE UNDER INNOVATIVE GROWTH
PRODUCTION AND SECURITIZATION OF FOREIGN INFRASTRUCTURE BY “TEAM KOREA”
THE INDEPENDENCE ISSUE AND AUDIT A COMPARATIVE STUDY OF PORTUGAL (EU) AND NORDIC COUNTRIES - A THEORETICAL APPROACH
EXPANDING TAM AND INVESTIGATING THE FACTORS THAT EFFECTS ON CONSUMERS’ INTENTION TO ADOPT MOBILE BANKING
DETERMINANTS OF INFLATION IN EUROPE – A DYNAMIC PANEL ANALYSIS
REVENUE ANALYSIS OF THE IMPACT OF THE FEE FOR ISSUING A PERMITFORTHE SALE OF ALCOHOL ON THE COMMUNE BUDGET ON THE EXAMPLE OF SELECTED COASTAL COMMUNES
WHISTLEBLOWING AS A MECHANISM OF FRAUD RISK MANAGEMENT IN ECONOMIC PRACTICE
FINANCIAL LITERACY OF STUDENTS – THE CASE STUDY OF UITM IN RZESZÓW, POLAND
ROLE OF BUSINESS AGE, SCALE & RISK IN DEBT FINANCING CHOICES FOR THE PAKISTANI TEXTILE & APPAREL INDUSTRY
COMPARING DIGITAL FINANCE IN THE UK, US, INDIA AND NIGERIA
THE CRYPTO EFFECT ON CROSS BORDER TRANSFERS AND FUTURE TRENDS OF CRYPTOCURRENCIES
WORK LIFE BALANCE AND SERVICE DELIVERY AMONG WOMEN ENTREPRENEURS IN SOUTH-WESTERN NIGERIA
A NOTE ON: AN EARLY WARNING SYSTEM FOR MARKET INEFFICIENCY
VALUE OF BRANDED EDUCATION
FINANCIAL LEASING OR RENTING? CASE STUDY IN THE CLASSROOM
FINANCIAL EFFECTIVENESS AND PRODUCTIVITY OF THE AGRICULTURAL SECTOR IN POLAND
PSYCHOLOGICAL CAPITAL AND LEADERSHIP ROLE UNDER THE TURBULENT CONDITIONS IN BANKING SECTOR
DIGITAL FINANCE, GREEN FINANCE AND SOCIAL FINANCE: IS THERE A LINK?
THE IMPACT OF DIESELGATE ON THE REQUIRED RATE OF RETURN ON EQUITY OF VW, BMW AND DAIMLER
DO FISCAL TRANSFERS FOSTER REGIONAL ECONOMIC GROWTH?
HISTORICAL DEFINITION AND THEORETICAL BACKGROUND OF USURY LOAN PROVISIONS
FACTORS DRIVING E-LEARNING ADOPTION IN PALESTINE: AN INTEGRATION OF TECHNOLOGY ACCEPTANCE MODEL AND IS SUCCESS MODE
APPLICATION OF PREDICTIVE METHODS TO FINANCIAL DATA SETS
COMPREHENSIVE ANALYSIS OF A COMPANY\'S ACTIVITY BY MEANS OF STATISTICAL MODELING AS SUPPORT FOR ITS DECISION-MAKING SYSTEM
THE EFFECT OF EDUCATION ON EARNINGS IN A POST-CONFLICT ECONOMY: EVIDENCE FROM BOSNIA AND HERZEGOVINA
FORMING AN E-LEARNING PROPOSED MODEL. A CASE STUDY OF PALESTINE
EVALUATION OF TECHNICAL EFFICIENCY IN FINANCIAL DIMENSION OF PRIVATE MEDICAL ENTITIES IN PODKARPACKIE VOIVODSHIP – DEA APPROACH
INTEGRATING THE COST OF THE CARBON FOOTPRINT WITHIN THE INCOME STATEMENT – TESTS ON SEVEN POLISH FIRMS
FINANCIAL INCLUSION-EXCLUSION PARADOX: HOW BANKED ADULTS BECOME UNBANKED AGAIN
THE DETERMINANTS OF FINANCIAL INCLUSION
EFFECT OF AUDITORS’ INDEPENDENCE ON FINANCIAL REPORTING QUALITY OF NIGERIAN DEPOSIT MONEY BANK
TREASURY SINGLE ACCOUNT AND FINANCIAL INTERMEDIATION IN NIGERIA
DETERMINANTS OF CEO BONUS COMPENSATION
PREDICTING MOBILE BANKING ADOPTION: AN INTEGRATION OF TAM AND TPB WITH TRUST AND PERCEIVED RISK
THE IMPACT OF MACROECONOMIC VARIABLES ON EXCHANGE RATE UNCERTAIN
RELATIONS BETWEEN THE PRINCIPLE OF NEUTRALITY AND ELEMENTS OF VALUE ADDED TAX STRUCTURE
MAKING SUSTAINABLE FINANCE SUSTAINABLE
ECONOMICAL SITUATION IN SUB-SAHARAN AFRICAN COUNTRIES
SELECTED IMPACTS OF REGULATION (EU) 2019/631 ON VALUE CREATION IN THE AUTOMOTIVE INDUSTRY
FINANCIAL INCLUSION – GLOBALLY IMPORTANT DETERMINANTS
USAGE OF PUBLIC FINANCIAL SUPPORT SERVICES, ENTREPRENEURIAL ORIENTATION AND SME PERFORMANCE: THE CASE OF MALAYSIA
BAYESIAN ONLINE CHANGE POINT DETECTION IN FINANCE
MEASURING THE IMPACT OF AN ADMINISTRATIVE FINE ON A COMPANY AND ITS FUTURE SURVIVAL: A CASE STUDY FROM THE CZECH REPUBLIC
FINANCIAL CONDITION AND BANKRUPTCY LIKELIHOOD IN AVIATION ON THE EXAMPLE OF THE AEROFLOT COMPANY
BUSINESS HYBRIDIZATION IN THE FINANCIAL SPHERE UNDER THE CONDITIONS OF POST-QUARANTINE ECONOMIC RECOVERY
INDIVIDUAL PENSION PRODUCTS OFFERED BY BANKS IN POLAND – A MULTIDIMENSIONAL COMPARATIVE ANALYSIS
FINANCIAL AND NON-FINANCIAL ASPECTS OF ENTREPRENEURSHIP. THE POLISH PERSPECTIVE
HOW DO DYNAMIC FINANCING DECISIONS EXPLAIN THE BEHAVIOR OF DIVIDEND PAYOUT POLICIES? AN EMPIRICAL STUDY OF LISTED PAKISTANI MANUFACTURING FIRMS
COMPARATIVE ANALYSIS OF THE CONTRIBUTION TO THE UNITED NATIONS SUSTAINABLE DEVELOPMENT GOALS THROUGH NON-FINANCIAL INFORMATION DISCLOSED BY IBEX 35 COMPANIES
CASHLESS PAYMENT SYSTEM AND COVID-19 ON THE EXAMPLE OF THE CZECH REPUBLIC
THE ROLE OF SOFT SKILLS IN EMPLOYABILITY IN THE FINANCIAL INDUSTRY
THE IMPACT OF CAPITAL STRUCTURE ON BANK PERFORMANCE IN EMERGING MARKETS; EMPIRICAL EVIDENCE FROM GCC COUNTRIES
CAN WE PREDICT HIGH GROWTH FIRMS WITH THE FINANCIAL RATIOS?
THE IMPACT OF IFRS ADOPTION ON FOREIGN DIRECT INVESTMENT IN CIS
ARE BANKRUPTCY MODELS ADEQUATE FOR CONDITION ASSESSMENT OF COMPANIES LISTED ON WARSAW STOCK EXCHANGE
MUTUAL FUNDS’ COST PERSISTENCE
THE RELATIONSHIP BETWEEN CFO QUALIFICATIONS AND INTERNAL CONTROL WEAKNESS
HOUSEHOLD FUEL CHOICE IN URBAN KENYA: A MULTINOMIAL LOGIT ANALYSIS
FINANCIAL LITERACY AND NEW BUSINESS ENTRY
THE ROLE OF CUSTOMS PROCEDURES IN REDUCTION OF MAINTENANCE, REPAIR AND OVERHAUL COSTS IN THE AVIATION INDUSTRY
ESTONIA AND KAZAKHSTAN. FINANCIAL AND ECONOMIC FATE OF ECONOMIES AFTER THE COLLAPSE OF THE USSR
THE EFFECTS OF GLOBAL RISK INDICATORS ON THE MSCI EMERGING MARKETS INDEX
DETERMINANTS OF OPERATIONAL EFFICIENCY: THE CASE OF SAUDI BANKS
WORKING CAPITAL MANAGEMENT EFFICIENCY: A STUDY OF CERTIFIED FIRMS FROM THE EFQM EXCELLENCE MODEL
WHAT ARE THE INTERNAL DETERMINANTS OF RETURN ON ASSETS AND EQUITY OF THE ENERGY SECTOR IN TURKEY?
NO POVERTY- SUSTAINABLE DEVELOPMENT GOALS IN THE LIGHT OF POLISH STATISTICS AND SOCIAL POLICY ACTIVITIES
NET OPERATING LOSS POLICIES IN POLAND – A TOOL FOR TAX NEUTRALITY AND A FIRM’S ANTIFRAGILITY
THE IMPACT OF THE COVID-19 PANDEMIC ON THE PERSONAL FINANCE - A COMPARATIVE ANALYSIS OF POLES AND SLOVAKS
ECONOMIC AND FINANCIAL CONSEQUENCES OF WAR IN UKRAINE: ANALYSIS OF DEVELOPMENT SCENARIOS
ON SEPARATION OF MONETARY AND FISCAL OPERATIONS IN MACROECONOMIC STATISTICS
RELATIONSHIP BETWEEN GOVERNMENT EXPENDITURE AND ECONOMIC GROWTH IN VISEGRAD GROUP
CHALLENGES IN TRANSFER PRICING: A CONCEPT OF SAFE HARBOURS FOR FINANCIAL TRANSACTIONS
EFFECTS OF COVID-19 ON PAYMENT METHOD PREFERENCES OF POLES
ENVIRONMENTAL ASPECTS OF INVESTING IN THE POLISH STOCK EXCHANGE MARKET ACCORDING TO INDIVIDUAL INVESTORS
FISCAL POLICY BEFORE AND DURING COVID-19 AND ITS IMPACT ON THE CREATION OF NEW COMPANIES
THE MILLER–MODIGLIANI DIVIDEND IRRELEVANCE THEORY AS A WARNING FOR INVESTORS LOOKING FOR QUICK PROFITS FROM INVESTMENTS IN COMPANIES PAYING DIVIDENDS
THE RISK IDENTIFICATION AND ASSESSMENT ON THE EXAMPLE OF COMPANIES FROM THE AUTOMOTIVE INDUSTRY IN POLAND
REACTION OF THE USD/PLN CURRENCY PAIR EXCHANGE RATE TO THE PUBLISHED MACROECONOMIC DATA
FOREX MARKET AS THE BEST POSSIBLE WAY OF INVESTING MONEY DURING ECONOMY BOOM AND RECESSION
THE CONCEPT OF ASSOCIATED PERSONS AS A KEY AND POTENTIALLY PROBLEMATIC ASPECT IN TRANSFER PRICING
EVOLUTION OF LOYALTY PROGRAMS OFFERED TO CUSTOMERS AND INVESTOR
SYMMETRIC AND ASYMMETRIC VOLATILITY: FORECASTING THE BORSA ISTANBUL 100 INDEX RETURN VOLATILITY
CRYPTOCURRENCY AS A METHOD OF PAYMENT IN THE TOURISM SECTOR
RELATIONSHIP BETWEEN THE GREEN FINANCE INDEX, CO2 EMISSION, AND GDP
THE IMPACT OF IFRS ADOPTION ON ECONOMIC GROWTH IN TRANSITION COUNTRIES: EVIDENCE FROM CIS
IMPACT OF THE UNCONDITIONAL BASIC INCOME ON THE PROFESSIONAL SITUATION OF WOMEN
ENVIRONMENTAL, SOCIAL, AND GOVERNANCE (ESG) SCORES AND EARNINGS MANAGEMENT IN TELECOMMUNICATION COMPANIES: AN INTERNATIONAL PERSPECTIVE
BANK FAILURE RISK: A STUDY ON SILICON VALLEY BANK, SIGNATURE BANK & SILVERGATE CAPITAL CORPORATION
SOURCES OF UNCERTAINTY AND THEIR IMPACT ON STOCK PRICES EVIDENCE FROM EMERGING ECONOMIES
EXAMINING THE IMPACT OF RURAL FINANCE DEVELOPMENT ON FARMERS INCOMES IN BUSINESS CONTEXT. EVIDENCE FROM THE BELT AND ROAD FROM KEY PROVINCES
IMPACT ANALYSIS OF THE FACTORS INFLUENCING THE DEVELOPMENT OF THE ALTERNATIVE FINANCE MARKET IN MOLDOVA
Top Management Team Diversity Impact on Financial Performance: Evidence from VW Group affiliated firms
THE ROLE OF IMPARTIAL ADMINISTRATION IN FINANCIAL SECTOR PERFORMANCE: A COMPARATIVE STUDY OF LATIN AMERICA AND SUB-SAHARAN AFRICAN COUNTRIES
RISK ASSESSMENT AS A STAGE OF RISK MANAGEMENT IN ENTERPRISES IN TOURISM SECTOR
ENTROPY-BASED WASPAS APPROACH FOR FINANCIAL PERFORMANCE IN THE COVID-19 ERA: EVIDENCE FROM ISLAMIC COUNTRIES
AN ASSESSMENT OF THE RISK MITIGATING FACTORS IN GHANA’S BANK INDUSTRY
GAMES IN A FOREIGN EXCHANGE MARKET AND SOLUTIONS
POLISH HOUSEHOLD DEFAULT RISK AND PHYSICAL RISK OF CLIMATE CHANGE
A 10-YEAR ANALYSIS OF HOUSING PRICES AND THE INFLUENCE OF ECONOMIC FACTORS IN TURKEY
DIFFERENCES IN BUSINESS FRAUD BETWEEN STATE-OWNED AND PRIVATE COMPANIES: CASE OF CROATIA
DOMESTIC CAPITAL VS. FOREIGN CAPITAL NEW ENTERPRISE CREATION: THE CASE OF FDI IN INDIA
HOW COVID-19 AFFECTED CORPORATE DIVIDEND DECISIONS: NOVEL EVIDENCE FROM EMERGING COUNTRIES
COLOUR SYMBOLISM IN FINANCE
ASSESSMENT OF PUBLIC EDUCATION EXPENDITURE EFFICIENCY ACROSS LITHUANIAN MUNICIPALITIES
THE DETERMINANTS OF GREEN FINANCE AND EFFECT ON THE BANKING SECTOR
ESG VOLATILITY PREDICTION USING GARCH AND LSTM MODELS
THE DYNAMIC RELATIONSHIP BETWEEN BTC WITH BIST AND NASDAQ INDICES
ANALYSIS OF THE PAYMENT DISCIPLINE OF TRADE-LICENCE HOLDERS REGARDING SOCIAL INSURANCE CONTRIBUTIONS IN THE SLOVAK REPUBLIC
COMPLEX PENSION PRODUCTS: A MULTIDIMENSIONAL APPROACH
A METHODOLOGICAL APPROACH TO OPTIMIZING FINANCIAL RESOURCES TO INCREASE THE LEVEL OF ECONOMIC SECURITY IN A DYNAMIC EXTERNAL ENVIRONMENT
HOW THE COVID-19 SHOCK INFLUENCED COMPANIES LISTED ON THE WSE AND HOW THEY MANAGED THEIR LIQUIDITY
THE INTERRELATIONSHIP OF WORKING CAPITAL: THE ROLE OF FINANCIAL BOOTSTRAPPING AND GOVERNMENT SUPPORT
THE IMPACT OF THE ENTERPRISE FINANCIAL RISK MANAGEMENT FUNCTION ON FINANCIAL PERFORMANCE IN BOSNIA AND HERZEGOVINA
THE IMPACT OF WEBSITE PERFORMANCE ON BUSINESS SALES
MODELING FINANCIAL RISK ATTITUDE: THE ROLE OF EDUCATION AND FINANCIAL LITERACY
USING ADAPTIVE POTENTIAL TO COUNTERACT CRISIS SITUATIONS IN THE CONTEXT OF ENSURING FINANCIAL SECURITY AND BUSINESS SUSTAINABILITY OF ENTERPRISES
ENABLERS FOR USAGE OF THE MOBILE WALLET BY MSMES IN RURAL INDIA: USING THE INTERPRETIVE STRUCTURAL MODELLING APPROACH
IMPACT OF INSTITUTIONS ON FINANCIAL INCLUSION IN AFRICA
MODELLING FINANCIAL VARIABLES USING NEURAL NETWORKING TO ACCESS CREDITWORTHINESS
THE IMPACT OF FISCAL COUNCILS ON PUBLIC PERCEPTION: A SURVEY EXPERIMENT IN THE CZECH REPUBLIC
THE CHANGE OF THE MONETARY PARADIGM: FINANCIAL SECURITY AND CRYPTOCURRENCY
A study to explore the motives of investors to invest in derivative markets: a PLS-SEM approach
Society’s well-being and firm profitability
Public and private investments and economic growth in Ghana and Kenya.
Dynamic Interrelationships among Bitcoin, Bonds, and Sectoral Indices in India: Evidence from Pre- and Post-COVID-19.
Determinants of local government debt in the Federation of Bosnia and Herzegovina.
Comparison between internal and electronic clearing systems for checks: A case study pertaining to the Iraqi banking industry.
The contribution of analytical procedures in supporting corporate governance: A field study in Algeria.
Cigarette taxation and consumption in The Czech Republic. Have these factors influenced tax revenue?
VIRAL TRENDS AND STOCK MARKETS: SPILLOVERS BETWEEN MEME ASSETS AND SECTORAL RETURNS
BRIDGING PROSPERITY: UNRAVELLING THE INTERPLAY OF PUBLIC BORROWING, GROSS CAPITAL FORMATION, AND ECONOMIC GROWTH IN THE NEPALESE ECONOMY
CBDC AND TRUST IN A CENTRAL BANK: TRANSITIVITY OF PREFERENCES VS. THE PRIVACY PARADOX
DISCOVERING SOURCES AND APPROACHES IN FINANCING HACKATHONS
DOES THE DEFINITION OF THE COST OF CONSUMER CREDIT ACCORDING TO THE REGULATIONS SUPPORT CREDIT DECISIONS? RESULTS OF INDIVIDUAL IN-DEPTH INTERVIEWS WITH EXPERTS
THE IMPACT OF THE EU’S GENERALIZED SYSTEM OF PREFERENCES PLUS STATUS ON COMPANIES AND FISCAL POLICY OF PAKISTAN: A CASE OF THE TEXTILE INDUSTRY
THE INTRODUCTION OF THE EURO AND ITS IMPACT ON FIRM PERFORMANCE – THE EVIDENCE OF CROATIA
EFFECTIVE STRATEGY FOR IMPLEMENTING STATE FINANCIAL ASSISTANCE IN THE USE OF ALTERNATIVE ENERGY TECHNOLOGIES FOR CRITICAL INFRASTRUCTURE ENTERPRISES UNDER ELEVATED NATIONAL SECURITY THREATS
MODELING THE RELATIONSHIPS AMONG THE STOCK MARKET, GOLD PRICE, OIL PRICE AND EXCHANGE RATE: A VECM AND VDA APPROACH
AN ARTIFICIAL INTELLIGENCE-BASED FORECASTING OF THE DYNAMICS OF RELATIVE PROFIT RATES AT A FINANCIAL CRISIS JUNCTURE: A MODEL, A CASE STUDY AND CRISIS MANAGEMENT POLICIES
UNVEILING GROWTH DIVERGENCE ON LSE: FTSE100 VS. AIM LISTED COMPANIES
SECTOR-SPECIFIC FINANCIAL FORECASTING WITH MACHINE LEARNING ALGORITHM AND SHAP INTERACTION VALUES
DIGITAL GOVERNANCE ACROSS WHOLE-OF-THE-GOVERNMENT: OPPORTUNITIES AND CHALLENGES
THE MODERATING IMPACT OF CONCENTRATED OWNERSHIP ON RELATED PARTY TRANSACTIONS AND FIRM PERFORMANCE IN THE MALAYSIAN CONTEXT
THE INTERPLAY OF INCOME GROWTH AND HOUSING PRICES: A DECADE OF REAL ESTATE DYNAMICS IN POLAND’S LARGEST CITIES