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Citations of

Grzegorz Marek Michalski

Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.

Working papers

  1. Grzegorz Michalski, 2013. "Value-Based Inventory Management," Papers 1301.3826, arXiv.org.

    Cited by:

    1. Grzegorz Michalski, 2012. "Risk sensitivity indicator as correction factor for cost of capital rate," EconStor Conference Papers 67534, ZBW - German National Library of Economics.
    2. Eleonora Ionela Focsan & Vasile Cristian Ioachim Miron, 2016. "A Method Of The Minimizing Of The Total Acquisitions Cost With The Decreasing Variable Demand," Annals - Economy Series, Constantin Brancusi University, Faculty of Economics, vol. 1, pages 169-174, February.
    3. Grzegorz Michalski, 2013. "Planning Optimal From the Firm Value Creation Perspective Levels of Operating Cash Investments," Papers 1301.3824, arXiv.org.
    4. Wojnowski Marcin, 2013. "Planning of sales on the example of the companyindustry works related to the construction of buildings and civil engineering," Working Papers hal-00813546, HAL.
    5. Grzegorz Michalski & Aleksander Mercik, 2013. "Polish and Silesian Non-Profit Organizations Liquidity Strategies," Papers 1301.3825, arXiv.org.

  2. Grzegorz Michalski, 2013. "Planning Optimal From the Firm Value Creation Perspective Levels of Operating Cash Investments," Papers 1301.3824, arXiv.org.

    Cited by:

    1. Grzegorz Michalski, 2012. "Risk sensitivity indicator as correction factor for cost of capital rate," EconStor Conference Papers 67534, ZBW - German National Library of Economics.

  3. Grzegorz Michalski, 2013. "Portfolio Management Approach in Trade Credit Decision Making," Papers 1301.3823, arXiv.org.

    Cited by:

    1. Grzegorz Michalski, 2012. "Risk sensitivity indicator as correction factor for cost of capital rate," EconStor Conference Papers 67534, ZBW - German National Library of Economics.
    2. Karolina Biernacka & Jolanta Lont, 2013. "Prognoza przyszłorocznej sprzedaży dla przedsiębiorstw z branży budowlanej i medycznej," Working Papers hal-00804616, HAL.
    3. Aneta Hutta, 2013. "Zarzadzanie ryzykiem w tworzeniu wartosci na przykladzie przedsiebiorstwa zbranzy spozywczej (Risk Management in Creating Value in the Example of Companies from the Food Production Branch)," Working Papers hal-00811906, HAL.
    4. Monika Brzezińska & Katarzyna Guhn, 2013. "Planning of sales on the example of companies in the paper industry and wholesale of chemical products," Working Papers hal-00812840, HAL.
    5. Karolina Biernacka, 2013. "Krótkoterminowe planowanie finansowe na przykładzie przedsiębiorstwa z branży budowlanej," Working Papers hal-00804617, HAL.
    6. Aneta Hutta & Michal Pilecki, 2013. "A. Hutta, M. Pilecki, Uniwersytet Ekonomiczny we Wrocławiu, Zarzadzanie wartoscia przedsiebiorstwa na przykładzie przedsiebiorstw z branzy spozywczej," Working Papers hal-00804861, HAL.
    7. Grzegorz Michalski, 2013. "Planning Optimal From the Firm Value Creation Perspective Levels of Operating Cash Investments," Papers 1301.3824, arXiv.org.
    8. Monika Hurna & Kwiecień Krzysztof, 2013. "Zarządzanie wartością przedsiębiorstwa na przykładzie przedsiębiorstw z branży wydobywczej," Working Papers hal-00804798, HAL.
    9. Karolina Karcz & Malwina Bielawska, 2013. "Planowanie przychodów ze sprzedaży na przykładzie przedsiębiorstwa z branży sprzedaż hurtowa napojów alkoholowych ( PKD 46.34A) oraz z branży sprzedaż hurtowa artykułów elektrycznych użytku domowego (," Working Papers hal-00814297, HAL.
    10. Michal Pilecki, 2013. "Risk Managment in Creating Value of Company in Example of Food Production Branch Companies
      [Zarządzanie Ryzykiem W Tworzeniu Wartości Na Przykładzie Przedsiębiorstwa Z Branży Spożywczej]
      ," Working Papers hal-00811907, HAL.

Articles

  1. Grzegorz Michalski, 2011. "Operating Cycle And Nonprofit Organizations Efficiency," Journal of Academic Research in Economics, Spiru Haret University, Faculty of Accounting and Financial Management Constanta, vol. 3(3 (Novemb), pages 584-598.

    Cited by:

    1. Michalsky, Grzegorz, 2012. "Crisis Caused Changes in Intrinsic Liquidity Value in Non-Profit Institutions," MPRA Paper 43397, University Library of Munich, Germany, revised 19 Dec 2012.
    2. Grzegorz Michalski, 2012. "Crisis Caused Changes In Intrinsic Liquidity Value In Non-Profit Institutions," Equilibrium. Quarterly Journal of Economics and Economic Policy, Institute of Economic Research, vol. 7(2), pages 139-158, June.

  2. Michalski, Grzegorz, 2010. "Planning Optimal From The Firm Value Creation Perspective. Levels Of Operating Cash Investments," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(1), pages 198-214, March. See citations under working paper version above.
  3. Michalski, Grzegorz, 2008. "Value-Based Inventory Management," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 5(1), pages 82-90, March.
    See citations under working paper version above.
  4. Grzegorz Michalski, 2008. "Determinants of Accounts Receivable Level: Portfolio Approach in Firm's Trade Credit Policy," Acta Oeconomica Pragensia, University of Economics, Prague, vol. 2008(5), pages 47-56.

    Cited by:

    1. Mary Nelima LYANI (SINDANI) & Gregory S. NAMUSONGE & Maurice SAKWA, 2016. "Accounts Receivable Risk Management Practices and Growth of SMEs in Kakamega County, Kenya," Expert Journal of Finance, Sprint Investify, vol. 4, pages 31-43.

  5. Michalski, Grzegorz, 2007. "Portofolio Managament Approach in Trade Credit Decision Making," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 4(3), pages 42-53, September.
    See citations under working paper version above.
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