Content
2024, Volume 20, Issue 4
- 1-15 Viral Trends and Stock Markets: Spillover Between Meme Assets and Sectoral Returns
by Barbić Tajana & Čondić-Jurkić Iva - 16-31 Bridging Prosperity: Unravelling the Interplay of Public Borrowing, Gross Capital Formation, and Economic Growth In The Nepalese Economy
by Dahal Arjun Kumar & Bhattarai Ganesh & Budhathoki Prem Bahadur & Adhikari Gyan Mani - 32-47 CBDC and Trust in A Central Bank: Transitivity Of Preferences Vs. The Privacy Paradox
by Koziuk Viktor & Ivashuk Yurii & Hayda Yurii & Dluhopolskyi Oleksandr - 48-55 Discovering Sources and Approaches in Financing Hackathons
by Ryś Maciej - 56-71 Does the Definition of the Cost of Consumer Credit According to the Regulations Support Credit Decisions? Results of Individual In-Depth Interviews With Experts
by Cwynar Wiktor - 72-84 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
by Choudhary Mazhar Hussain - 85-95 The Introduction of the Euro and its Impact on Firm Performance - the Evidence of Croatia
by Kramarić Tomislava Pavić & Miletić Marko - 96-108 Effective Strategy for Implementing State Financial Assistance in the Use of Alternative Energy Technologies for Critical Infrastructure Enterprises under Elevated National Security Threats
by Kopytko Marta & Ruda Iryna & Yatsyk Mariana & Viunyk Olha
2024, Volume 20, Issue 3
- 1-12 A study to explore the motives of investors to invest in derivative markets: A PLS-SEM approach
by Sanghvi Manisha & Sharma Pankaj & Chandani Arti - 13-28 Society’s well-being and firm profitability. The case of Poland
by Ratajczak Piotr & Nowicki Jarosław & Szutkowski Dawid - 29-41 Public and private investments and economic growth in Ghana and Kenya
by Mose Naftaly & Fumey Michael Provide - 42-57 Dynamic Interrelationships among Bitcoin, Bonds, and Sectoral Indices in India: Evidence from Pre- and Post-COVID-19
by Sehgal Shivam & Singh Jaspal - 58-69 Determinants of local government debt in the Federation of Bosnia and Herzegovina
by Moćević Amina & Lazović-Pita Lejla - 70-90 Comparison between internal and electronic clearing systems for checks: A case study pertaining to the Iraqi banking industry
by Huby Maysaa saad Jawad & Ibrahim Lamyaa Ali & Abbas Ali Abdulhassan - 91-102 The contribution of analytical procedures in supporting corporate governance: A field study in Algeria
by Farouk Didaoui Mohamed & Ismail Boughazi - 103-113 Cigarette taxation and consumption in The Czech Republic. Have these factors influenced tax revenue?
by Krajňák Michal
2024, Volume 20, Issue 2
- 1-14 Modeling Financial Risk Attitude: The Role of Education And Financial Literacy
by Iannario Maria & Monti Anna Clara & Scalera Domenico - 15-25 Using Adaptive Potential to Counteract Crisis Situations in the Context of Ensuring Financial Security and Business Sustainability of Enterprises
by Andriі Stasyshyn & Ruda Iryna & Tkachuk Dmytro & Galika Volodymyr - 26-40 Enablers for Usage of the Mobile Wallet by Msmes in Rural India: Using the Interpretive Structural Modelling Approach
by Agrawal Reena & Yadav Maneesh - 42-61 Impact of Institutions on Financial Inclusion in Africa
by Łaszewski Antoni Ludwik - 62-76 Modelling Financial Variables Using Neural Networking to Access Creditworthiness
by Ubarhande Prashant & Chandani Arti & Pathak Mohit & Agrawal Reena & Bagade Sonali - 77-88 The Impact of Fiscal Councils on Public Perception: A Survey Experiment in the Czech Republic
by Morda Pavel & Zeman Martin & Klement Josef - 89-101 The Change of the Monetary Paradigm: Financial Security and Cryptocurrency
by Mihus Iryna & Marchenko Volodymyr & Dombrovska Alla & Panchenko Oksana
March 2024, Volume 20, Issue 1
- 1-13 Analysis of the payment discipline of trade-licence holders regarding social insurance contributions in the Slovak Republic
by Hajdúková Tatiana & Lukáčiková Edita - 14-28 Complex pension products: A multidimensional approach
by Rutecka-Góra Joanna & Pieńkowska-Kamieniecka Sylwia & Turner John A. - 29-38 A methodological approach to optimizing financial resources to increase the level of economic security in a dynamic external environment
by Kopytko Marta & Sylkin Oleksandr & Ruda Iryna - 39-50 How the COVID-19 shock influenced companies listed on the WSE and how they managed their liquidity
by Czajkowska Agnieszka & Bolek Monika & Pluskota Anna - 51-63 The interrelationship of working capital: The role of financial bootstraping and government support
by Rita Maria Rio & Supramono & Dayamanti Theresia Woro & Nastiti Pambayun Kinasih Yekti - 64-80 The impact of the enterprise financial risk management function on financial performance in Bosnia and Herzegovina
by Abdić Adem & Rovčanin Adnan & Abdić Ademir - 81-91 The impact of website performance on business sales
by Ikášová Tereza & Klepek Martin
December 2023, Volume 19, Issue 4
- 1-8 Differences in business fraud between state-owned and private companies: case of Croatia
by Bartulović Marijana & Perkušić Dijana & Kovačević Ivan - 9-24 Domestic capital vs. foreign capital new enterprise creation: the case of FDI in India
by Sajikumar Tulasidharan & Da Silva Amândio F. C. - 25-48 How COVID-19 Affected Corporate Dividend Decisions: Novel Evidence from Emerging Countries
by AlGhazali Abdullah Mohammed & Yilmaz Ilker - 49-62 Colour Symbolism in Finance
by Prusak Błażej & Mushafiq Muhammad - 63-79 Assessment of public education expenditure efficiency across Lithuanian municipalities
by Legenzova Renata & Gaigalienė Asta & Rudytė Dalia & Skunčikienė Solveiga & Kazlauskienė Vilma - 80-96 The determinants of green finance and effect on the banking sector
by Gör Yusuf & Tekin Bilgehan - 97-114 ESG Volatility Prediction Using GARCH and LSTM Models
by Mishra Akshay Kumar & Kumar Rahul & Bal Debi Prasad - 113-126 The dynamic relationship between BTC with BIST and NASDAQ indices
by Ulu Cagri
September 2023, Volume 19, Issue 3
- 1-15 Top management team diversity impact on financial performance: Evidence from VW Group affiliated firms
by Velinov Emil - 16-30 The role of impartial administration in financial sector performance: A comparative study of Latin America and Sub-Saharan African countries
by Dirir Sadik Aden - 31-47 Risk assesment as a stage of risk management in enterprise in tourism sector
by Nedyalkova Plamena - 48-61 Entropy-Based Waspas approach for financial performance in the COVID-19 era: Evidence from Islamic countries
by Erdogan Hilal H. - 62-74 An assessment of the risk mitigating factors in Ghana’s Bank Industry
by Alnaa Samuel Erasmus & Matey Juabin - 75-86 Games in a foreign exchange market and solutions
by Habibi Reza - 87-99 Polish household default risk and physical risk of climate change
by Kurowski Łukasz & Sokal Katarzyna - 100-112 A 10-Year Analysis of Housing Prices and The Influence of Economic Factors in Turkey
by Muddasir Muhammad & Dondaş Umut
June 2023, Volume 19, Issue 2
- 1-17 The impact of IFRS adoption on economic growth in transition countries: Evidence from CIS
by Abdullaeva Mokhirakhon & Kamrul Hasan A. K. M. & Yodgorova Feruza & Khajieva Indira & Nusratova Gulhayo - 18-25 Impact of the unconditional basic income on the professional situation of women
by Kowalska Milena - 26-35 Environmental, social, and governance scores and earnings management in telecommunication companies: An international perspective
by Acar Goksel & Coskun Ali - 36-45 Bank failure risk: A study on Silicon Valley Bank, Signature Bank, and Silvergate Capital Corporations
by Hamurcu Çağri - 49-67 Sources of uncertainty and their impact on stock prices evidence from emerging economies
by Nazir Noman & Bashir Zahid & Izhar Syed Usman & Jamshed Yasir - 65-77 Examining the impact of rural finance development on farmers’ incomes in business context. Evidence from “The Belt and Road” from key provinces
by Qiu-Bin Lin & Döngül Esra Sipahi & Ul-Durar Shajara - 78-90 Impact analysis of the factors influencing the development of the alternative finance market in Moldova
by Paslari Andrei
March 2023, Volume 19, Issue 1
- 1-7 Reaction of the USD/PLN currency pair exchange rate to the published macroeconomic data
by Pasionek Jolanta - 8-20 Forex market as the best possible way of investing money during an economic boom and recession
by Zembura Wojciech - 21-33 The concept of associated persons as a key and potentially problematic aspect in transfer pricing
by Brychta Karel & Abreu Matheus Chebli de & Hudenko Justina & Santos Lucas Scheremetta & Poubel Lucas Cunha do Valle - 35-47 Evolution of loyalty programs offered to customers and investors
by Dziawgo Danuta - 48-56 Symmetric and asymmetric volatility: Forecasting the Borsa Istanbul 100 index return volatility
by Öner Selma & Öner Hakan - 57-65 Cryptocurrency as a method of payment in the tourism sector
by Aiazbekov Azamat - 66-77 Relationship between the green finance index, CO2 emission, and GDP
by Hamurcu Çağrı
December 2022, Volume 18, Issue 4
- 1-11 On separation of monetary and fiscal operations in macroeconomics statistics
by Rybáček Václav & Janáček Julius - 12-22 Relationship between government expenditure and economic growth in Visegrad Group
by Szarowska Irena - 23-34 Challenges in transfer pricing: A concept of safe harbours for financial transactions
by Ištok Michal & Solilová Veronika & Brychta Karel - 35-49 Effects of COVID-19 on payment method preferences of Poles
by Kubiczek Jakub - 50-60 Environmental aspects of investing in the Polish stock exchange market according to individual investors
by Dziawgo Leszek - 61-76 Fiscal policy before and during COVID-19 and its impact on the creation of new comapnies
by Sokołowska Anetta & Trasberg Viktor - 77-88 The Miller–Modigliani dividend irrelevance theory as a warning for investors looking for quick profits from investments in companies paying dividends
by Kowerski Mieczysław & Haniewska Laura - 89-99 The risk identification and assesment on the example of companies from the automotive industry in Poland
by Podgórska Joanna & Mormul Katarzyna & Maksymowicz Janusz
September 2022, Volume 18, Issue 3
- 1-10 The effects of global risk indicators on the MSCI emerging markets index
by Öner Selma - 11-20 Determinants of operational efficiency: the case of Saudi Banks
by Khan Shoaib - 21-34 Working capital management efficiency: a study of certified firms from the EFQM excellence model
by Yousaf Muhammad - 35-50 What are the internal determinants of return on assets and equity of the energy sector in Turkey?
by Tekin Bilgehan - 51-67 ‘No poverty’ - sustainable development goals in the light of Polish statistics and social policy activities
by Palimąka Karolina & Karaś Gabriela - 68-79 Net operating loss policies in Poland – a tool for tax neutrality and a firm’s antifragility
by Cathala Christophe - 80-87 The impact of the COVID-19 pandemic on the personal finance - a comparative analysis of Poles and Slovaks
by Waliszewski Krzysztof - 88-101 Economic and financial consequences of war in Ukraine: analysis of development scenarios
by Bida Marianna & Ruda Iryna
June 2022, Volume 18, Issue 2
- 1-12 Are Bankruptcy Models Adequate for Condition Assessment of Companies Listed on Warsaw Stock Exchange?
by Bolek Monika & Gniadkowska-Szymańska Agata - 13-20 Mutual Funds’ Cost Persistence
by Trzebiński Artur A. - 21-29 The Relationship Between CFO Qualifications and Internal Control Weakness
by Yeh Yaying C. & Venezia Chiulien C. & Yang Tzu-Ya - 30-41 Household Fuel Choice in Urban Kenya: A Multinomial Logit Analysis
by Waweru David & Mose Naftaly - 42-66 Financial Literacy and New Business Entry
by Skica Tomasz & Mikuš Juraj & Holienka Marian - 67-82 The Role of Customs Procedures in Reduction of Maintenance, Repair and Overhaul Costs in the Aviation Industry
by Płaza Natalia & Žilinskienė Deimantė - 83-97 Estonia and Kazakhstan. Financial and Economic Fate of Economies After the Collapse of the USSR
by Yembergenkyzy Nazym & Fałda Beata
March 2022, Volume 18, Issue 1
- 1-15 How do dynamic financing decisions explain the behavior of dividend payout policies?: An Empirical Study of Listed Pakistani Manufacturing Firms
by Bashir Zahid & Rafique Zulqurnain Zeeshan & Toor Kashif Naseer - 16-30 Comparative analysis of the contribution to the united nations sustainable development goals through non-financial information disclosed by IBEX 35 companies
by Calvo-Centeno Esperanza & Gragera-Pizarro Enrique & Romero-Ramos Eva & Ropero-Moriones Eva - 31-43 Cashless payment system and Covid-19 on the example of the Czech Republic
by Schlossberger Otakar & Soldánová Marcela - 44-55 The role of soft skills in employability in the financial industry
by Costantino Lorenzo & Rodzinka Jacek - 56-65 The impact of capital structure on bank performace in emerging markets; empirical evidence from GCC countries
by Khan Shoaib - 66-73 Can we predict high growth firms with financial ratios?
by Srhoj Stjepan - 74-90 The impact of IFRS adoption on foreign direct investment in CIS
by Sanjar Sherkulov & Kamrul Hasan A. K. M. & Khajieva Indira & Nusratova Gulhayo & Yodgorova Feruza
December 2021, Volume 17, Issue 4
- 1-11 Financial Inclusion: Globally Important Determinants
by Ozili Peterson K. - 12-26 Usage of Public Financial Support Services, Entrepreneurial Orientation and Sme Performance: the Case of Malaysia
by Bin Yusoff Mohd Nor Hakimin & Zainol Fakhrul Anwar & Ismail Mohamad & Kasuma Jati & Darma Dio Caisar - 27-33 Bayesian Online Change Point Detection in Finance
by Habibi Reza - 34-49 Measuring The Impact of an Administrative Fine on a Company And Its Future Survival: a Case Study From The Czech Republic
by Krabec Tomas & Čižinska Romana - 50-69 Financial Condition and Bankruptcy Likelihood in Aviation on the Example of the Aeroflot Company
by Faizuloyeva Nargis & Olechowska Karolina - 70-90 Business Hybridization in the Financial Sphere Under the Conditions of Po St-Quarantine Economic Recovery
by Momot Volodymyr & Lytvynenko Olena - 91-104 Individual Pension Products Offered by Banks in Poland - a Multidimensional Comparative Analysis
by Rutecka-Góra Joanna - 105-119 Financial and Non-Financial Aspects of Entrepreneurship - the Polish Perspective
by PalimĄka Karolina
September 2021, Volume 17, Issue 3
- 1-13 Treasury Single Account and Financial Intermediation in Nigeria
by Ikpe Michael Emmanuel & Ntiendo Umoren - 14-34 Determints of CEO Bonus Compensation
by Wang Hwei Cheng & Fang Chih Chi & Lou Yung-I & Xu Randall Zhaohui - 35-46 Predicting Mobile Banking Adoption: An Integration of TAM and TPB with Trust and Perceived Risk
by Aldammagh Ziad & Abdeljawad Rabah & Obaid Tareq - 47-55 Impact of Macroeconomic Variables on Exchange Rate Uncertain
by Kaboro Jane & Mose Naftaly - 56-63 Relations Between the Principle of Neutrality and Elements of Value Added Tax Structure
by Daniel Paweł - 64-70 Making Sustainble Finance Sustainable
by Ozili Peterson. K. - 71-75 Economical Situation in Sub-Saharan African Countries
by Soboń Dariusz & Soboń Janusz & Rogozińska-Mitrut Joanna & Seleznova Ruslana - 76-87 Selected Impacts of Regulation (EU) 2019/631 On Value Creation in the Automative Industry
by Čižinská Romana & Chládková Jana
June 2021, Volume 17, Issue 2
- 1-15 The Effect of Education on Earnings in a Post-Conflict Economy: Evidence from Bosnia and Herzegovina
by Rizvanovic Aida & Efendic Adnan - 16-23 Forming an e-learning Proposed Model. A Case Study of Palestine
by Jouda Haitham & Dan Maysara Abu & Awaja Ahmed & Tafish Ahmad - 24-31 Evaluation of Technical Efficiency in Financial Dimension of Private Medical Entities in Podkarpackie Voivodhip – DEA Approach
by Leśniowska-Gontarz Małgorzata - 32-43 Integrating the Cost of the Carbon Footprint within the Income Statement – Tests on Seven Polish Firms
by Cathala Christophe - 44-50 Financial Inclusion-Exclusion Paradox: How Banked Adults become Unbanked Again
by Ozili Peterson K. - 51-58 The Determinants of Financial Inclusion
by Mose Naftaly & Thomi John - 59-65 Effect of Auditor’s Independence on Financial Reporting Quality of Nigerian Deposit Money Bank
by Agbaje Abdul-Ganiyy & Sadiq Raji & Adesoji Oke & Oyindamola Shittu Aminat
March 2021, Volume 17, Issue 1
- 1-7 Digital Finance, Green Finance and Social Finance: Is there a Link?
by Ozili Peterson K. - 8-18 The Impact of Dieselgate on the Required Rate of Return on Equity of VW, BMW and Daimler
by Čižinská Romana & Matějková Pavlína & Neset Pavel - 19-27 Do Fiscal Transfers Foster Regional Economic Growth?
by Mose Naftaly - 28-40 Historical Definition and Theoretical Background of Usury Loan Provisions
by Chlumská Zuzana - 41-49 Factors Driving E-Learning Adoption in Palestine: An Integration of Technology Acceptance Model and is Success Model
by Aldammagh Ziad & Abdaljawad Rabah & Obaid Tareq - 50-61 Application of Predictive Methods to Financial Data Sets
by Habibi Reza - 62-69 Comprehensive Analysis of a Company's Activity by Means of Statistical Modeling as Support for its Decision-Making System
by Soboń Janusz & Burkina Natalia & Sapun Kostiantyn & Seleznova Ruslana
December 2020, Volume 16, Issue 4
- 1-11 Comparing Digital Finance in the UK, US, India and Nigeria
by Ozili Peterson K. - 12-23 The Crypto Effect on Cross Border Transfers and Future Trends of Cryptocurrencies
by Uyduran Burak - 24-34 Work Life Balance and Service Delivery Among Women Entrepreneurs in South-Western Nigeria
by Kuranga Mutiat Oyinlola - 35-41 A note on: A early warning system for market inefficiency
by Habibi Reza - 42-46 Value of branded education
by Krabec Tomas & Čižinská Romana - 47-64 Financial leasing or renting? Case study in the classroom
by Centeno María Esperanza Calvo & Vallina Joaquín Galván & Duarte Ma Victoria Gutiérrez - 65-81 Financial effectiveness and productivity of the agricultural sector in Poland
by Misiąg Wojciech & Skica Tomasz & Rodzinka Jacek - 82-90 Psychological capital and leadership role under the turbulent conditions in banking sector
by Momot Volodymyr & Lytvynenko Olena
September 2020, Volume 16, Issue 3
- 1-18 Production and Securitization of Foregin Infrastucture by “Team Korea”
by Hong Dasom - 19-28 The Independence Issue and Audit a Comparative Study of Portugal (EU) and Nordic Countries – A Theoretical Approach
by De Sena Portugal Dias Alcina Augusta - 29-50 Expanding TAM and Investigating the Factors that Effect Consumer Intention to Adopt Mobile Banking in Palestine
by Jouda Haitham - 51-79 Determinants of Inflation in Europe – A Dynamic Panel Analysis
by Čaklovica Lejla & Efendic Adnan S. - 80-95 Revenue Analysis of the Impact of the Fee for Issuing a Permitforthe Sale of Alcohol on the Commune Budget of the Example of Selected Coastal Communes
by Szydłowski Cezary - 96-105 Whistleblowing as a Mechanism of Fraud Risk Management in Economic Practice
by Skoczylas-Tworek Agnieszka - 106-118 Financial Literacy of Students – The Case Study of UITM in Rzeszów, Poland
by Palimąka Karolina - 119-136 Role of Business Age, Scale & Risk in Debt Financing Choices for the Pakistani Textile & Apparel Industry
by Bashir Zahid & Arshad Muhammad Usman & Asif Muhammad & Abbas Muhammad & Ali Hasnain
June 2020, Volume 16, Issue 2
- 1-13 Impact of Oil Prices on Stock Market Development in Selected Oil Exporting Sub-Saharan African Countries
by Muritala Adewale T. & Ijaiya Adeniyi M. & Adekunle Ahmed O. & Nageri Ibraheem K. & Yinus A. Bolaji - 14-23 Differences Between New Ifrs and Us Gaap Lease Standards and their Effects on Publicly Listed Companies
by Winiarska Karolina - 24-36 Is Bigger Better? The Impact of the Size of Banks on Credit Ratings
by Chodnicka-Jaworska Patrycja - 37-48 Trade Fair Fee as a Source of Income for the Budgets of Municipalities in Poland on Selected Examples
by Szydłowski Cezary - 49-65 A Critique of Bangladeshi Adoption of Basel Type Capital Regulation: An Institutional View
by Hasan A K M Kamrul & Suzuki Yasushi - 66-72 Regional Policy Financial Instruments in the Szczecin Metropolitan Area
by Ociepa-Kicińska Elżbieta - 73-86 Regional Differentiation for Life Quality of the Population in Ukraine Under Innovative Growth
by Burkina Natalia & Furman Taras & Soboń Janusz & Sapun Kostiantyn
March 2020, Volume 16, Issue 1
- 1-10 Managerial Factors in Investment Risk: Evidence from Polish Mutual Funds
by Filip Dariusz - 11-19 Driving Factors of Growth Evidence in the Food and Textile Sectors of Pakistan
by Bashir Zahid & Arshad Muhammad Usman & Asif Muhammad & Khalid Nusrat - 20-26 Fraud and Bank Performance in Nigeria – Var Granger Causality Analysis
by Muritala Taiwo A. & Ijaiya Muftau A. & Afolabi Olatanwa H. & Yinus Abdulrasheed B. - 27-35 Hidden and Fast Liquidity - Hidden Orders and High-Frequency Trading
by Lenczewski Martins Carlos Jorge - 36-44 Size of Banks as a Factor Which Impacts the Efficiency of the Bank Lending Channel
by Świtała Filip & Kowalska Iwona & Malajkat Karolina - 45-66 An Empirical Investigation of E-Banking in the Kurdistan Region of Iraq: The Moderating Effect of Attitude
by Hamakhan Yadgar Taha M. - 67-74 The Role of Main Microeconomic Factors on the Stock Prices of Selected Swiss Companies
by Pražák Tomáš
December 2019, Volume 15, Issue 4
- 1-11 Evaluation of the Possibilities of Using the Knowledge Capital Earnings Method (KCETM) for Depicting Intellectual Capital in the Annual Reports of Polish Companies
by Bagieńska Anna - 12-24 The Problem of Alternative Financing Source Management – The Equity Crowdfunding Case
by Motylska-Kuźma Anna - 25-33 Changes in the Product Costing Process Driven by Implementation of an Integrated Information System in a Production Company
by Fałat Kamila - 34-43 Profit Reinvestment: Main Motives Supporting Financial Decisions
by Pokorná Pavla & Šebestová Jarmila - 44-54 Misinformation About Dividend Payouts Influences Transaction Prices in Experimental Asset Markets
by Polak Mateusz & Polczyk Romuald - 55-72 Usefulness of Sectoral Means in Financial Analyses of Enterprises
by Mioduchowska-Jaroszewicz Edyta - 73-82 Adjusting Bank Recruitment to the Specifics of the Millennial Generation as Conditions of Attractiveness Decline for Employment in the Banking Sector
by Momot Volodymyr & Lytvynenko Olena - 83-92 Corportate Diversification and CEO Compensation: Evidence from the Moderating Effect of Stock Ownership
by Wang Hwei Cheng & Lou Yung-I & Venezia Chiulien C. & Buzzetto-Hollywood Nicole A.
September 2019, Volume 15, Issue 3
- 1-9 The Impact of Crises on the Intellectual Capital of Companies in the Food Sector
by Garncarz Jakub & Mierzejewski Mateusz - 10-20 Stock-Flow Adjustment – Only a Residual Value? Evidence from European Union Countries
by Banaszewska Monika - 21-28 Credibility of foreign Discriminatory Models in Relation to the Assessment of the Financial Condition of Polish Enterprises. Case Study of E. Altman’s Method
by Pitera Rafał - 29-46 The Polish Model of a Social Economy with the Financial aspects and Profits at Background – from the General Theory to Practice
by Chojnacka Katarzyna J. - 47-55 Determinants of Corporate Dividend Policy in Polish Companies Listed on WSE
by Gostkowska-Drzewicka Magdalena & Majerowska Ewa - 56-66 Financial Health of small and Medium-Sized Companies in the Visegrad Countries
by Pražák Tomáš - 67-75 Spatial and Institutional Analysis of the Voivodships Expenditure on Culture in the Years 2003 – 2015
by Suchecki Adam Mateusz - 76-87 The Efficiency of a Supplementary Old-Age Pension System – the Case of Polish Voluntary Pension Funds
by Rutecka-Góra Joanna
June 2019, Volume 15, Issue 2
- 1-7 Crowdfunding in the Wider Perspective Investment Crowdfunding: Competition Between Regulations, Institutions, and Economic Freedom
by Dziawgo Leszek & Dziawgo Danuta - 8-19 The Myth of Austerity. Empirical Evidence from the Eurozone Countries
by Wildowicz-Giegiel Anna - 20-35 Revision of Performance Measurement Tools and Methods
by Elmgasbi Alladyn - 36-47 Net Working Capital Strategy Influencing Beta Coefficient based on Companies Listed on Newconnect Alternative Exchange in Warsaw
by Bolek Monika - 48-62 The Cost of Equity Capital in Stock Portfolios Listed on the Warsaw Stock Exchange Using the Classic CAPM
by Urbański Stanisław - 63-72 Fiscal Instruments Supporting Families in Poland in the Years 2004-2017
by Wojciuk Michał & Zegarowicz Łukasz - 73-86 An Essential Review of Internet Banking Services in Developing Countries
by Hama Khan Yadgar M. - 87-94 Underpricing on the Selected European Alternative Investment Markets
by Hadro Dominika & Pauka Marek
March 2019, Volume 15, Issue 1
- 1-9 Financial Liquidity as a Factor Determining the Economic Condition of Companies on the Capital Market in Relation to Bankruptcy Law in Poland
by Bolek Monika & Gniadkowska-Szymańska Agata - 10-19 Corporate Bankruptcy Prediction in Poland Against the Background of Foreign Experience
by Prusak Błażej - 20-29 Efficiency vs. The Level of Per Capita Income of Urban-Rural Municipalities in Poland
by Olejniczak Jarosław - 30-44 A Multi – Speed Europe, and the Peripherality of Poland
by Mierzejewski Mateusz & Palimąka Karolina - 45-58 The Fiscal Effects of Economic Immigration on Subnational Government Finance in Poland
by Poniatowicz Marzanna & Piekutowska Agnieszka - 59-72 The Rationale and Conditions for the Issuing of Polish Treasury Bonds on Foreign Markets
by Frydrych Sylwia
December 2018, Volume 14, Issue 4
- 1-11 Comparison of Risk Index Estimating Methods on the Polish Financial Market
by Janas Krzysztof - 12-21 A Real Or a Marginal Trend in Participatory Budgets in Local Governments
by Filipiak Beata Zofia & Dylewski Marek - 22-35 The Effect of an Electronic Exchange on Prices and Return Volatility in the Fine Wine Market
by Czupryna Marcin & Oleksy Paweł - 36-55 Investment Strategies that Beat the Market. What Can We Squeeze from the Market?
by Ślepaczuk Robert & Sakowski Paweł & Zakrzewski Grzegorz - 56-66 Crowdfunding as an Alternative Method of Raising Capital
by Wierzbicka Katarzyna - 67-76 The Impact of Quantitative Easing on Emerging Markets – Literature Review
by Bartkiewicz Piotr - 77-89 Understanding the Informal Economy in Practice – Evidence from Bosnia and Herzegovina
by Efendic Nirha & Pasovic Edin & Efendic Adnan S. - 90-103 Students’ Attitudes Towards Starting a Business, on the Example of Students at the University of Information Technology and Management in Rzeszów (Poland)
by Palimąka Karolina & Rodzinka Jacek
September 2018, Volume 14, Issue 3
- 1-7 Openess and Transparency of Fiscal Reporting in Poland – Assessment and Recommendation
by Jastrzębska Maria - 8-20 Financing of Smart Growth in Less Developed Regions on the Example of Poland
by Murzyn Dorota - 21-31 Partial Fiscal Decentralization and Local Government Spending Policy
by Kopańska Agnieszka - 32-48 Corporate Income Tax Rates in the EU Member States: Why Lower Means Better
by Karpowicz Andrzej - 49-59 Local Taxes and Fees as a Source of Revenue for Polish Municipalities: Substitutes or Complements?
by Łukomska Julita & Neneman Jarosław - 60-75 An Analysis of Codified Corporate Governance Practices in the Banking Industry: The Case Study of Bangladesh
by Suzuki Yasushi & Hasan A K M Kamrul - 76-86 Determinants of Public Indebtedness in European Union Countries
by Kudła Janusz - 87-97 Principle of Vat Neutrality and the Reverse Charge Mechanism
by Famulska Teresa & Rogowska-Rajda Beata
June 2018, Volume 14, Issue 2
- 1-8 Determinants of Investment Decisions on the Capital Market
by Jasiniak Magdalena - 9-17 Influence of State Participation on Business Conditions and Entrepreneurship in the EU Countries of the Former Eastern Bloc
by Domańska Ada & Zajkowski Robert - 18-33 Analysis of Spatial Homogeneity of Integrity Standards in Selected EU OECD Countries
by Filipiak Beata Zofia & Dylewski Marek & Cheba Katarzyna