Content
December 2017, Volume 13, Issue 4
- 149-155 Mandatory pension funds in Chile: decline of the arrangement?
by Ząbkowicz Anna
September 2017, Volume 13, Issue 3
- 1-14 Is it Worth Being Good? – The Efficiency and Risk of Socially Responsible Investing in Light of Various Empirical Studies
by Jedynak Tomasz - 15-23 Analysis of the Attractiveness of the Polish Market for Venture Capital Funds
by Wierzbicka Katarzyna & Gardocka-Jałowiec Anna - 24-32 Impact of a Company’s Dividend Policy on the Liquidity of Shares Listed on the Warsaw Stock Exchange
by Gniadkowska-Szymańska Agata - 33-42 Degree of Convergence of the Efficiency of the Polish Equity Investment Funds Obtained with Measures Based on the Sharpe Ratio
by Kozak Sylwester - 43-65 Analyzing the Link Between Agency Problems, Governance and Control Attributes for Pakistan
by Ghazali Ahmad & Bilal Ahmad Raza - 66-75 The Effect of Foreign Equity Ownership on Corporate Social Responsibility: Empirical Evidence from Poland
by Doś Anna
December 2017, Volume 13, Issue 2
- 1-13 Accouting and marketing dimensions of innovations
by Dyhdalewicz Anna & Widelska Urszula - 14-21 Exchange traded commodities as a category of innovative products on European financial markets
by Marszk Adam - 22-35 Evaluation of the factors influencing business bankruptcy risk in Poland
by Korol Tomasz - 36-44 Tax incentives as an instrument attracting investors to Special Economic Zones
by Jasiniak Magdalena & Koziński Jakub - 45-61 Understanding financialization: standing on the shoulders of Minsky
by Whalen Charles J. - 62-74 Household financialization – sense and scale of this phenomenon on the example of poland
by Kata Ryszard & Chmiel Justyna - 75-86 Challenges for central banks in a changing payments landscape
by Iwańczuk-Kaliska Anna
November 2017, Volume 13, Issue 1
- 1-14 Control Premium and Minority Discounts in Polish Business Valuation Practices – Evidence from Research
by Byrka-Kita Katarzyna & Grudziński Michał - 15-24 Monetary Policy in Poland – How the Financial Crisis Changed the Central Bank’s Preferences
by Mackiewicz-Łyziak Joanna - 25-34 The Color of Government Money. Do Investors Differently Value the Investment of Sovereign Wealth Funds?
by Urban Dariusz - 35-46 Public Issue of Bank Bonds Case Study of Bank Pocztowy S.A
by Gemra Kamil
December 2016, Volume 12, Issue 4
- 1-19 Can Increasing Dividends be a Symptom of the Financialization of the Polish Economy?
by Kowerski Mieczyslaw - 20-32 Financialization and Income Inequality in Selected European Countries, 2004–2013
by Golebiowski Grzegorz & Szczepankowski Piotr & Wisniewska Dorota - 33-42 Financialization and Commodity Market Stability
by Zelazny Jan - 43-57 The Relationship Between Concentration of the Banking Sector in Poland and Its Soundness
by Wojcicka Karolina - 58-71 Measurement of Intellectual Capital as Exemplified by Methods of Groups Based on the Roa Indicator and on Market Capitalization
by Palimąka Karolina & Mierzejewskl Mateusz - 72-82 Assessing the Financial Distress Risk of Companies Operating Under Conditions of a Negative Cash Conversion Cycle
by Szpulak Aleksandra - 83-91 Maximum Drawdown Measures in Hedge Fund Efficiency Appraisal
by Pruchnicka-Grabias Izabela - 92-104 Value Added Statement - A Relevant Instrument for Integrated Reporting
by Bagieńska Anna - 105-110 Selected Effects of Financing Agriculture from a Regional Perspective
by Kołoszko-Chomentowska Zofia & Wojsznis Barbara - 111-119 Analysis of Some Inner Factors Affecting the Lending Rate and Commercial Bank Behavior: (An Empirical Study Based on the Commercial Banking Sector of Pakistan)
by Ali Zulfiqar & Bashir Zahid & Arshad Muhammad Usman & Ghazali Ahmed & Asif Muhammad & Khan Fahad Najeeb
October 2016, Volume 12, Issue 3
- 1-26 Should The Paradigms of Banking Theory be Redefined Based on Banking Practice? (Thoughts on The Polarity of Opinion Concerning The Polish Banking Sector)
by Szambelańczyk Jan & Marcinkowska Monika - 27-37 The Impact of The Tax System Structure on The Narrowing of Income Disparities in OECD Countries
by Mazurek-Chwiejczak Małgorzata - 38-48 Crowdfunding as a Mechanism for Financing Small and Medium-Sized Enterprises
by Cichy Janusz & Gradoń Witold - 49-58 Log-Periodic Power Law and Generalized Hurst Exponent Analysis in Estimating an Asset Bubble Bursting Time
by Wątorek Marcin & Stawiarski Bartosz - 59-68 Financial Networks as a Source of Systemic Instability
by Zieliński Tomasz - 69-84 Selection and Assortment of The Variables Describing The Relationship between The Economy and The General Government Sector Size by Application of The LEM2 Algorithm
by Skica Tomasz & Rodzinka Jacek & Fryc Barbara