Content
June 2026, Volume 22, Issue 2
- 1-21 Examining the impact of exchange rate uncertainty on the Tehran Stock Exchange Index: hybrid approach using wavelet transform and quantile regression model
by Saeed Kian Poor & Mohsen Hajian - 22-34 Associations between financial literacy and financial distress among healthcare professionals: Evidence from oncology hospital nurses
by Çağrı Hamurcu & Hayriye Dilek Hamurcu & Semra Ercivan - 35-43 Assessing the value of intellectual capital for competitive advantage in WIG index companies: A comparative analysis of banking and IT sectors using group methods based on ROA and market capitalization
by Agnieszka Drzewiej & Nikodem Greń - 44-58 Does financial engagement really reduce financial anxiety in old age? Evidence from a developing country
by Mostafa Saidur Rahim Khan - 59-86 Predicting bank continuity using the Kah-Tans model: An applied study of several Iraqi commercial banks for the period (2018-2023)
by Ali Abdulhassan Abbas & Maysaa Saad Jawad Huby - 87-107 Environmental protection public expenditure as a determinant of green total factor productivity: Evidence from the European Union
by Muhamed Ibrić & Emira Kozarević & Meldina Kokorović Jukan - 108-126 Deciphering the cause-effect dynamics of sustainable banking enablers using the DEMATEL approach: A study of South Asian nations
by Charu Saxena & Reena Agrawal
March 2026, Volume 22, Issue 1
- 1-14 Impact of fiscal sustainability on economic growth in Kenya
by Naftaly Mose & Kamal Deen Moro - 15-34 The Polish consumer and BNPL. Profile and motivation
by Krzysztof Waliszewski & Paweł Niedziółka - 35-45 Impact of selected macroeconomic factors on financial markets: a case study of the USA
by Taras Tymoshchuk & Krzysztof Spirzewski - 46-66 Examining the volatility spillover between the fear index and the magnificent seven technology stocks
by Erol Koycu & Tugba Nur - 67-87 Empirical evidence on the roles of financial technology products on the shadow economy: a comparative analysis between advanced, emerging and developing countries
by Münevvere Yildiz & Kenan İlarslan - 88-105 From accruals to real activities: Understanding the trade-off in earnings management choices amid XBRL adoption in Italy
by László Szívós & Tamás Poszavecz - 106-120 Fuzzy representation of a limit order book as a measure of stock liquidity
by Szymon Stereńczak & Adam Marszałek
December 2025, Volume 21, Issue 4
- 1-15 Uncertainty as a determinant of dividend decisions of public companies during the COVID-19 pandemic. The case of companies listed on the Warsaw Stock Exchange
by Tomasz Sioma & Mieczysław Kowerski - 16-29 Construction of a framework for enablers of financial well-being among urban households in India: an ISM approach
by Reena Agrawal & Smita Wagholikar & Arti Chandani & Prashant Ubarhande & Mohit Pathak - 30-38 Assessment of the impact of innovation and investment activities on the restoration of economic potential of ukrainian enterprises in the context of industry 5.0 and the circular economy
by Marta Kopytko & Halyna Kaplenko & Iryna Ruda & Marianna Bida & Viktoriia Dubyk - 39-50 Bridging the information gap: what are the impacts of EPCs on Prague’s residential market selling prices?
by Tomáš Podškubka & Barbora Rýdlová & Josef Arlt - 51-67 Determinants of thermal comfort: analysis of public buildings in a post-transition context
by Ljiljan Veselinović & Jasmina Mangafić & Lejla Lazović-Pita - 68-83 Managing state budget available cash resources: case study of Poland
by Wojciech Misiąg & Jan Misiąg - 84-93 Effects of eurozone and schengen area accession on real estate prices
by Josip Visković & Danijela Čipčić - 94-107 Retirement attitudes in Poland and Southeast Europe
by Joanna Rutecka-Góra & Sylwia Pieńkowska-Kamieniecka & Damian Walczak
October 2025, Volume 21, Issue 3
- 1-9 Airline Performance And The Leasing Ratio In The Context Of Business Models
by Viktor Trasberg - 10-27 Do Mergers Enhance Financial Performance? Empirical Evidence From The Czech Republic
by Tomas Podskubka & Lucie Jahodova & Josef Arlt - 28-44 From Obstacles To New Opportunities: Exploring Profitability In The Banking Industry Amid Sustainability And The Green Transition
by Petra Jilkova & Ladislava Knihova & Natalie Heroldova - 45-61 The Global Shift In Monetary Sovereignty
by Tushar Goswami & Varda Sardana & Shubham Singhania - 62-76 Does Climate Policy Uncertainty Move With Stock Markets?
by Muge Saglam Bezgin & Selim Gungor - 77-87 The Financial Situation Of Pensioners In Poland In The Perspective Of Achieving Sustainable Development Goal Number 1: No Poverty
by Karolina Palimąka & Klaudia Wronka - 88-98 Relationship Between Sick Leave And Wages By Voivodeship And Industry. The Case Of Poland
by Jacek Rodzinka & Anna Gacek - 99-113 Exploring The Link Between Financial Globalization, Financial Development, Human Development And Economic Growth In China
by Fergul Ozgun
July 2025, Volume 21, Issue 2
- 1-18 Symbiotic Harmony: Exploring The Interplay Between Investment Strategies And Insurance In The Czech Republic
by Jan Neugebauer & MAREK VOKOUN - 19-32 Gender And Spoken Language Use In Consumer Finance
by Andrzej Cwynar & Robert Porzak & Paweł Nowak & Magdalena Cwynar - 33-63 Adaptive Market Hypothesis: Insights From Bric-T Countries\' Stock Markets
by Sureyya Yilmaz Ozekenci - 64-73 Pakistan And Malaysia Bilateral Trade Agreement (Bta): A Case Of The Pakistan Stock Exchange (Psx) Reaction
by Mazhar Hussain Choudhary - 74-88; Identification Of Key Enablers And Assessment Of The Inter-Relationships Of Household Financial Resilience In Southwest Asian Nations
by Reena Agrawal & Charu Saxena & Pratibha Thakur - 89-104 Evaluating Esg Practices And Financial Impacts: A Comprehensive Analysis Of Leading European Enterprises Under Csr Europe\'S Framework
by Gabriela Dubcová & Emil Velinov & Martina Kosikova - 105-119 Joint Impact Of Stock Market Development And Energy Consumption On Carbon Dioxide Emissions In Nigeria: 1990 To 2021
by Kamaladeen Ibraheem Nageri & Abdulwaheed Adeola Olukotun & Saheed Oluwaseun Lawal & Rahji Ohize Ibrahim
June 2025, Volume 21, Issue 1
- 1-14 Modeling The Relationships Among The Stock Market, Gold Price, Oil Price And Exchange Rate: A Vecm And Vda Approach
by Pravin Kumar Agrawal & Mohit Kumar - 15-26 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
by Ahmet Kara - 27-41 Unveiling Growth Divergence On Lse: Ftse100 Vs. Aim Listed Companies
by Monika Bolek & Agata Giandkowska-Szymańska & Piotr Pietraszewski - 42-66 Sector-Specific Financial Forecasting With Machine Learning Algorithm And Shap Interaction Values
by Cansu Ergenç & Rafet Aktaş - 67-75 Digital Governance Across Whole-Of-The-Government: Opportunities And Challenges
by Smita Pande & Arti Chandani & Smita Wagholikar - 76-93 The Moderating Impact Of Concentrated Ownership On Related Party Transactions And Firm Performance In The Malaysian Context
by Abdulsalam Saad Alquhaif - 94-104 The Interplay Of Income Growth And Housing Prices: A Decade Of Real Estate Dynamics In Poland’S Largest Cities
by Michał Ryś & Maciej Ryś
December 2024, Volume 20, Issue 4
- 1-15 Viral Trends And Stock Markets
by Tajana Barbić & Iva Ćondić-Jurkić - 16-31 Bridging Prosperity
by Arjun Kumar Dahal & Ganesh Bhattarai & Prem Bahadur Budhathoki & Gyan Mani Adhikari - 48-55 Discovering Sources And Approaches In Financing Hackathons
by Maciej Ryś - 56-71 Does The Definition Of The Cost Of Consumer Credit According To The Regulations Support Credit Decisions?
by Wiktor Cwynar - 72-84 The Impact Of The Eu’S Generalized System Of Preferences Plus Status On Companies And Fiscal Policy Of Pakistan:
by Mazhar Hussain Choudhary - 85-95 The Introduction Of The Euro And Its Impact On Firm Performance – The Evidence Of Croatia
by Tomislava Pavić Kramarić & Marko Miletić - 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 Marta Kopytko & Iryna Ruda & Mariana Yatsyk & Olha Viunyk - v:20:y:2024:i:4:id:1245 CBDC and trust in A central bank: transitivity of preferences vs. the privacy paradox
by Viktor Koziuk & Yurii Ivashuk & Yurii Hayda & Oleksandr Dluhopolskyi
September 2024, Volume 20, Issue 3
- 1-12 A study to explore the motives of investors to invest in derivative markets
by Manisha Sanghvi & Pankaj Sharma & Arti Chandani - 13-28 Society’s well-being and firm profitability
by Piotr Ratajczak & Jarosław Nowicki & Dawid Szutowski - 29-41 Public and private investments and economic growth in Ghana and Kenya
by Naftaly Mose & Michael Provide Fumey - 42-57 Dynamic Interrelationships among Bitcoin, Bonds, and Sectoral Indices in India
by Shivam Sehgal & Jaspal Singh - 58-69 Determinants of local government debt in the Federation of Bosnia and Herzegovina
by Amina Moćević & Lejla Lazović-Pita - 70-90 Comparison between internal and electronic clearing systems for checks
by Maysaa saad Jawad Huby & Lamyaa Ali Ibrahim & Ali Abdulhassan Abbas - 91-102 The contribution of analytical procedures in supporting corporate governance
by Didaoui Mohamed Farouk & Boughazi Ismail - 103-113 Cigarette taxation and consumption in The Czech Republic. Have these factors influenced tax revenue?
by Michal Krajńak
September 2024, Volume 20, Issue 2
- 1-14 Modeling Financial Risk Attitude
by Maria Iannario & Anna Clara Monti & Domenico Scalara - 15-25 Using Adaptive Potential To Counteract Crisis Situations In The Context Of Ensuring Financial Security And Business Sustainability Of Enterprises
by Stasyshyn Andrii & Iryna Ruda & Dmytro Tkachuk & Volodymyr Galika - 26-41 Enablers For Usage Of The Mobile Wallet By Msmes In Rural India
by Reena Agrawal & Maneesh Yadav - 42-61 Impact Of Institutions On Financial Inclusion In Africa
by Antoni Ludwik Łaszewski - 62-76 Modelling Financial Variables Using Neural Networking To Access Creditworthiness
by Prashant Ubarhande & Arti Chandani & Mohit Pathak & Reena Agrawal & Sonali Bagade - 77-88 The Change Of The Monetary Paradigm: Financial Security And Cryptocurrency
by Pavel Morda & Martin Zeman & Josef Klement - 89-101 The Change Of The Monetary Paradigm
by Iryna Mihus & VOLODYMYR Marchenko & Alla Dombrovska & Oksana Panchenko
September 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 Tatiana Hajdukova & Edita Lukaćikova - 14-28 Complex Pension Products
by Joanna RUTECKA-GÓRA & Sylwia Pieńkowska-Kamienicka & John A. Turner - 29-38 A Methodological Approach To Optimizing Financial Resources To Increase The Level Of Economic Security In A Dynamic External Environment
by Marta Kopytko & Oleksandr Sylkin & Iryna Ruda - 39-50 How The Covid-19 Shock Influenced Companies Listed On The Wse And How They Managed Their Liquidity
by Agnieszka Czajkowska & Monika Bolek & Anna Pluskota - 51-63 The Interrelationship Of Working Capital
by Maria Rio Rita & Supramono & Theresia Woro Damayanti & Pambayun Kinashin Yekti Nastiti - 64-80 The Impact Of The Enterprise Financial Risk Management Function On Financial Performance In Bosnia And Herzegovina
by Adem Abdić & Adnan Rovćanin & Ademir Abdić - 81-90 The Impact Of Website Performance On Business Sales
by Tereza Ikasowa & Martin Klepek
January 2023, Volume 19, Issue 4
- 1-8 Differences In Business Fraud Between State-Owned And Private Companies: Case Of Croatia
by Marijana Bartulović & Dijana Perkušić & Ivan Kovačević - 9-24 Domestic Capital Vs. Foreign Capital New Enterprise Creation: The Case Of Fdi In India
by Tulasidharan Sajikumar & Amândio F. C. Da Silva - 25-48 How Covid-19 Affected Corporate Dividend Decisions: Novel Evidence From Emerging Countries
by Abdullah Mohammed Alghazali & Ilker Yilmaz - 49-62 Colour Symbolism In Finance
by Błażej Prusak & Muhammad Mushafiq - 63-79 Assessment Of Public Education Expenditure Efficiency Across Lithuanian Municipalities
by Renata Legenzova & Asta Gaigalienė & Dalia Rudytė & Solveiga Skunčikienė & Vilma Kazlauskienė - 80-96 The Determinants Of Green Finance And Effect On The Banking Sector
by Yusuf Gör & Bilgehan Tekin - 97-114 Esg Volatility Prediction Using Garch And Lstm Models
by Akshay Kumar Mishra & Rahul Kumar & Debi Prasad Bal - 115-128 The Dynamic Relationship Between Btc With Bist And Nasdaq Indices
by Cagri Ulu
January 2023, Volume 19, Issue 3
- 1-15 Top Management Team Diversity Impact on Financial Performance: Evidence from VW Group affiliated firms
by Emil Velinov - 16-30 The Role Of Impartial Administration In Financial Sector Performance: A Comparative Study Of Latin America And Sub-Saharan African Countries
by Sadik Aden Dirir - 31-47 Risk Assessment As A Stage Of Risk Management In Enterprises In Tourism Sector
by Plamena Nedyalkova - 48-61 Entropy-Based Waspas Approach For Financial Performance In The Covid-19 Era: Evidence From Islamic Countries
by Hilal H. Erdogan - 62-74 An Assessment Of The Risk Mitigating Factors In Ghana’S Bank Industry
by Samuel Erasmus Alnaa & Juabin Matey - 75-86 Games In A Foreign Exchange Market And Solutions
by Reza Habibi - 87-99 Polish Household Default Risk And Physical Risk Of Climate Change
by Łukasz Kurowski & Katarzyna Sokal - 100-112 A 10-Year Analysis Of Housing Prices And The Influence Of Economic Factors In Turkey
by Muhammed Muddasir & Umut Dondaş
January 2023, Volume 19, Issue 2
- 1-17 The Impact Of Ifrs Adoption On Economic Growth In Transition Countries: Evidence From Cis
by Mokhirakhon Abdullaeva & A. K. M. Kamrul Hasan & Feruza Yodgorova & Indira Khajieva & Gulhayo Nusratova - 18-25 Impact Of The Unconditional Basic Income On The Professional Situation Of Women
by Milena Kowalska - 26-35 Environmental, Social, And Governance (Esg) Scores And Earnings Management In Telecommunication Companies: An International Perspective
by Goksel Acar & Ali Coscun - 36-45 Bank Failure Risk: A Study On Silicon Valley Bank, Signature Bank & Silvergate Capital Corporation
by Çağri Hamurcu - 46-64 Sources Of Uncertainty And Their Impact On Stock Prices Evidence From Emerging Economies
by Noman Nazir & Zahid Bashir & Seyd Usman Izhar & Yasir Jamshed - 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 Lin Qiu-Bin & Esra Sipahi Döngül & Shajara Ul-Durar - 78-90 Impact Analysis Of The Factors Influencing The Development Of The Alternative Finance Market In Moldova
by Paslari Andrei
January 2023, Volume 19, Issue 1
- 1-7 Reaction Of The Usd/Pln Currency Pair Exchange Rate To The Published Macroeconomic Data
by Jolanta Pasionek - 8-20 Forex Market As The Best Possible Way Of Investing Money During Economy Boom And Recession
by Wojciech Zembura - 21-33 The Concept Of Associated Persons As A Key And Potentially Problematic Aspect In Transfer Pricing
by Karel Brychta & Matheus Chebli De Abreu & Justina Hudenko & Lucas Scheremetta Santos & Lucas Cunha Do Valle Poubel - 34-47 Evolution Of Loyalty Programs Offered To Customers And Investor
by Danuta Dziawgo - 48-56 Symmetric And Asymmetric Volatility: Forecasting The Borsa Istanbul 100 Index Return Volatility
by Selma Öner & Hakan Öner - 57-65 Cryptocurrency As A Method Of Payment In The Tourism Sector
by Azamat Aiazbekov - 66-77 Relationship Between The Green Finance Index, Co2 Emission, And Gdp
by Çağri Hamurcu
January 2022, Volume 18, Issue 4
- 1-11 On Separation Of Monetary And Fiscal Operations In Macroeconomic Statistics
by Václav Rybáček & Julius Janáček - 12-22 Relationship Between Government Expenditure And Economic Growth In Visegrad Group
by Irena Szarowska - 23-34 Challenges In Transfer Pricing: A Concept Of Safe Harbours For Financial Transactions
by Michal Ištok & Veronika Solilová & Karel Brychta - 35-49 Effects Of Covid-19 On Payment Method Preferences Of Poles
by Jakub Kubiczek - 50-60 Environmental Aspects Of Investing In The Polish Stock Exchange Market According To Individual Investors
by Leszek Dziawgo - 61-76 Fiscal Policy Before And During Covid-19 And Its Impact On The Creation Of New Companies
by Anetta Sokołowska & Viktor Trasberg - 77-88 The Miller–Modigliani Dividend Irrelevance Theory As A Warning For Investors Looking For Quick Profits From Investments In Companies Paying Dividends
by Mieczysław Kowerski & Laura Haniewska - 89-99 The Risk Identification And Assessment On The Example Of Companies From The Automotive Industry In Poland
by Joanna Podgórska & Katarzyna Mormul & Janusz Maksymowicz
January 2022, Volume 18, Issue 3
- 1-10 The Effects Of Global Risk Indicators On The Msci Emerging Markets Index
by Selma Öner - 11-20 Determinants Of Operational Efficiency: The Case Of Saudi Banks
by Shoaib Khan - 21-34 Working Capital Management Efficiency: A Study Of Certified Firms From The Efqm Excellence Model
by Muhammad Yousaf - 35-50 What Are The Internal Determinants Of Return On Assets And Equity Of The Energy Sector In Turkey?
by Bilgehan Tekin - 51-67 No Poverty- Sustainable Development Goals In The Light Of Polish Statistics And Social Policy Activities
by Karolina Palimąka & Gabriela Karaś - 68-79 Net Operating Loss Policies In Poland – A Tool For Tax Neutrality And A Firm’S Antifragility
by Christophe Cathala - 80-87 The Impact Of The Covid-19 Pandemic On The Personal Finance - A Comparative Analysis Of Poles And Slovaks
by Krzysztof Waliszewski - 88-101 Economic And Financial Consequences Of War In Ukraine: Analysis Of Development Scenarios
by Marianna Bida & Iryna Ruda
January 2022, Volume 18, Issue 2
- 1-12 Are Bankruptcy Models Adequate For Condition Assessment Of Companies Listed On Warsaw Stock Exchange
by Monika Bolek & Agata Gniazdowska-Szymańska - 13-20 Mutual Funds’ Cost Persistence
by Artur A. Trzebiński - 21-29 The Relationship Between Cfo Qualifications And Internal Control Weakness
by Yaying C. Yeh & Chiulien C. Venezia & Tzu-Ya Yang - 30-41 Household Fuel Choice In Urban Kenya: A Multinomial Logit Analysis
by David Waweru & Naftaly Mose - 42-66 Financial Literacy And New Business Entry
by Tomasz Skica & Juraj Mikuš & Marian Holienka - 67-82 The Role Of Customs Procedures In Reduction Of Maintenance, Repair And Overhaul Costs In The Aviation Industry
by Natalia Płaza & Deimantė Žilinskienė - 83-97 Estonia And Kazakhstan. Financial And Economic Fate Of Economies After The Collapse Of The Ussr
by Nazym Yembergenkyzy & Beata Fałda
January 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 Zahid Bashir & Zulqurnain Zeeshan Rafique & Kashif Naseer Toor - 16-30 Comparative Analysis Of The Contribution To The United Nations Sustainable Development Goals Through Non-Financial Information Disclosed By Ibex 35 Companies
by Esperanza Calvo-Centeno & Enrique Gragera-Pizzarro & Eva Romero-Ramos & Eva Popero-Moriones - 31-43 Cashless Payment System And Covid-19 On The Example Of The Czech Republic
by Otakar Scholossberger & Marcela Soldánová - 44-55 The Role Of Soft Skills In Employability In The Financial Industry
by Lorenzo Costantino & Jacek Rodzinka - 56-65 The Impact Of Capital Structure On Bank Performance In Emerging Markets; Empirical Evidence From Gcc Countries
by Shoaib Khan - 66-73 Can We Predict High Growth Firms With The Financial Ratios?
by Stjepan Srhoj - 74-90 The Impact Of Ifrs Adoption On Foreign Direct Investment In Cis
by Sherkulov Sanjar & A. K. M. Kamrul Hasan & Gulhayo Nusratova & Feruza Yodgorovas
January 2021, Volume 17, Issue 4
- 1-11 Financial Inclusion – Globally Important Determinants
by Peterson K. Ozili - 12-26 Usage Of Public Financial Support Services, Entrepreneurial Orientation And Sme Performance: The Case Of Malaysia
by Mohd Nor Hakimin Bin Yusoff & Fakhrul Anwar Zainol & Mohamad Ismail & Jati Kasuma & Dio Caisar Darmas - 27-33 Bayesian Online Change Point Detection In Finance
by Reza Habibi - 34-49 Measuring The Impact Of An Administrative Fine On A Company And Its Future Survival: A Case Study From The Czech Republic
by Tomas Krabec & Romana Čižinská - 50-69 Financial Condition And Bankruptcy Likelihood In Aviation On The Example Of The Aeroflot Company
by Nargis Faizuloyeva & Karolina Olechowkska - 70-90 Business Hybridization In The Financial Sphere Under The Conditions Of Post-Quarantine Economic Recovery
by Volodymyr Momot & Olena Lytvynenko - 91-104 Individual Pension Products Offered By Banks In Poland – A Multidimensional Comparative Analysis
by Joanna Rutecka-Góra - 105-119 Financial And Non-Financial Aspects Of Entrepreneurship. The Polish Perspective
by Karolina Palimąka
January 2021, Volume 17, Issue 3
- 1-13 Treasury Single Account And Financial Intermediation In Nigeria
by Emmanuel Ikpe Michael & Ntiedo J. Umoren - 14-34 Determinants Of Ceo Bonus Compensation
by Hwei Cheng Wang & Chih Chi Fang & Yung-I Lou & Randall Zhaohui Xu - 35-46 Predicting Mobile Banking Adoption: An Integration Of Tam And Tpb With Trust And Perceived Risk
by Ziad Aldammagh & Rabah Abdaljawad & Tareq Obaid - 47-55 The Impact Of Macroeconomic Variables On Exchange Rate Uncertain
by Jane Kaboro & Naftaly Mose - 56-63 Relations Between The Principle Of Neutrality And Elements Of Value Added Tax Structure
by Paweł Daniel - 64-70 Making Sustainable Finance Sustainable
by Peterson K. Ozili - 71-75 Economical Situation In Sub-Saharan African Countries
by Dariusz Soboń & Janusz Soboń & Joanna Rogozińska-Mitrut & Ruslana Seleznova - 76-87 Selected Impacts Of Regulation (Eu) 2019/631 On Value Creation In The Automotive Industry
by Romana Čižinská & Jana Chládková
January 2021, Volume 17, Issue 2
- 1-15 The Effect Of Education On Earnings In A Post-Conflict Economy: Evidence From Bosnia And Herzegovina
by Aida Rizvanovic & Adnan Efendic - 16-23 Forming An E-Learning Proposed Model. A Case Study Of Palestine
by Haitham Jouda & Maysara Abu Dan & Ahmed Awaja & Ahmed Tafish - 24-31 Evaluation Of Technical Efficiency In Financial Dimension Of Private Medical Entities In Podkarpackie Voivodship – Dea Approach
by Małgorzata Leśniowska-Gontarz - 32-43 Integrating The Cost Of The Carbon Footprint Within The Income Statement – Tests On Seven Polish Firms
by Christophe Cathala - 44-50 Financial Inclusion-Exclusion Paradox: How Banked Adults Become Unbanked Again
by Peterson K. Ozili - 51-58 The Determinants Of Financial Inclusion
by Naftaly Mose & John Thomi - 59-65 Effect Of Auditors’ Independence On Financial Reporting Quality Of Nigerian Deposit Money Bank
by Abdul-Ganiyy Agbaje & Raji Sadiq & Oke Adesoji & Shittu Aminat Oyindamola
January 2021, Volume 17, Issue 1
- 1-7 Digital Finance, Green Finance And Social Finance: Is There A Link?
by Peterson K. Ozili - 8-18 The Impact Of Dieselgate On The Required Rate Of Return On Equity Of Vw, Bmw And Daimler
by Romana Čižinská & Pavlína Matějková & Pavel Neset - 19-27 Do Fiscal Transfers Foster Regional Economic Growth?
by Naftaly Mose - 28-40 Historical Definition And Theoretical Background Of Usury Loan Provisions
by Zuzana Chlumská - 41-49 Factors Driving E-Learning Adoption In Palestine: An Integration Of Technology Acceptance Model And Is Success Mode
by Ziad Aldammagh & Rabah Abdal Jawad & Tareq Obaid - 50-61 Application Of Predictive Methods To Financial Data Sets
by Reza Habibi - 62-69 Comprehensive Analysis Of A Company\'S Activity By Means Of Statistical Modeling As Support For Its Decision-Making System
by Janusz Soboń & Natalia Burkina & Kostiantyn Sapun & Ruslana Seleznova
January 2020, Volume 16, Issue 4
- 1-11 Comparing Digital Finance In The Uk, Us, India And Nigeria
by Peterson K. Ozili - 12-23 The Crypto Effect On Cross Border Transfers And Future Trends Of Cryptocurrencies
by Burak Uyduran - 24-34 Work Life Balance And Service Delivery Among Women Entrepreneurs In South-Western Nigeria
by Mutiat Oyinlola Kuranga - 35-41 A Note On: An Early Warning System For Market Inefficiency
by Reza Habibi - 42-46 Value Of Branded Education
by Tomas Krabec & Romana Čižinská - 47-64 Financial Leasing Or Renting? Case Study In The Classroom
by María Esperanza Calvo Centeno & Joaquín Galván Vallina & Ma VICTORIA GUITERREZ DUARTE - 65-81 Financial Effectiveness And Productivity Of The Agricultural Sector In Poland
by Wojciech Misiąg & Tomasz Skica & Jacek Rodzinka - 82-90 Psychological Capital And Leadership Role Under The Turbulent Conditions In Banking Sector
by Volodymyr Momot & Olena Lytvynenko
January 2020, Volume 16, Issue 3
- 4-21 Production And Securitization Of Foreign Infrastructure By “Team Korea”
by Dasom Hong - 22-31 The Independence Issue And Audit A Comparative Study Of Portugal (Eu) And Nordic Countries - A Theoretical Approach
by Alcina Augusta De Sena Portugal Dias - 32-53 Expanding Tam And Investigating The Factors That Effects On Consumers’ Intention To Adopt Mobile Banking
by Haitham Jouda - 54-79 Determinants Of Inflation In Europe – A Dynamic Panel Analysis
by Lejla Čaklovica & Adnan S. Efendic - 80-98 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
by Cezary Szydłowski - 99-108 Whistleblowing As A Mechanism Of Fraud Risk Management In Economic Practice
by Agnieszka Skoczylas-Tworek - 108-121 Financial Literacy Of Students – The Case Study Of Uitm In Rzeszów, Poland
by Karolina Palimąka - 122-139 Role Of Business Age, Scale & Risk In Debt Financing Choices For The Pakistani Textile & Apparel Industry
by Zahid Bashir & Muhammad Usman Arshad & Muhammad Asif & Muhammad Abbas & Hasnain Ali
January 2020, Volume 16, Issue 2
- 1-13 Impact Of Oil Prices On Stock Market Development In Selected Oil Exporting Sub-Saharan African Countrie
by Adewale T. Muritala & Adeniyi M. Ijaiya & Ahed O. Adekunle & Ibraheem K. Nageri & A. Bolaji Yinus - 14-23 Differences Between New Ifrs And Us Gaap Lease Standards And Their Effects On Publicly Listed Companies
by Karolina Winiarska - 24-36 Is Bigger Better? The Impact Of The Size Of Banks On Credit Ratings
by Patrycja Chodnicka-Jaworska - 37-48 Trade Fair Fee As A Source Of Income For The Budgets Of Municipalities In Poland On Selected Examples
by Cezary Szydłowski - 49-65 A Critique Of Bangladeshi Adoption Of Basel Type Capital Regulation: An Institutional View
by A K M Hamrul Hasan & Yasushi Suzuki - 66-72 Regional Policy Financial Instruments In The Szczecin Metropolitan Area
by Elżbieta Ociepa-Kicińska - 73-86 Regional Differentiation For Life Quality Of The Population In Ukraine Under Innovative Growth
by Natalia Burkina & Taras Furman & Janusz Soboń & Kostiantyn Sapun
January 2020, Volume 16, Issue 1
- 1-10 Managerial Factors In Investment Risk: Evidence From Polish Mutual Funds
by Dariusz Filip - 11-19 Driving Factors Of Growth Evidence In The Food And Textile Sectors Of Pakistan
by Zahid Bashir & Muhammad Usman Arshad & Muhammad Asif & Nusrat Khalid - 20-26 Fraud And Bank Performance In Nigeria – Var Granger Causality Analysis
by Taiwo A. Muritala & Muftau A. Ijaiya & Olatanwa H. Afolabi & Abdulrasheed B. Yinus - 27-35 Hidden And Fast Liquidity - Hidden Orders And High-Frequency Trading
by Martins Carlos Jorge Lenczewski - 36-44 Size Of Banks As A Factor Which Impacts The Efficiency Of The Bank Lending Channel
by Filip Świtała & Iwona Kowalska & Karolina Malajkat - 45-66 An Empirical Investigation Of E-Banking In The Kurdistan Region Of Iraq: The Moderating Effect Of Attitude
by Yadgar Taha M. Hamakhan - 67-74 The Role Of Main Microeconomic Factors On The Stock Prices Of Selected Swiss Companies
by Tomáš Pražák
January 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 Anna Bagieńska - 12-24 The Problem Of Alternative Financing Source Management – The Equity Crowdfunding Case
by Anna Motylka-Kuźma - 25-33 Changes In The Product Costing Process Driven By Implementation Of An Integrated Information System In A Production Company
by Kamila Fałat - 34-43 Profit Reinvestment: Main Motives Supporting Financial Decisions
by Pavla Pokorná & Jarmila Šebestová - 44-54 Misinformation About Dividend Payouts Influences Transaction Prices In Experimental Asset Markets
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