Content
2020, Volume 9, Issue 4
- 9-25 Impact Of Microfinance Institutions On Financial Literacy In North Central Geo-Political Zone Nigeria
by Ibrahim Majeed Ajibola & Daud Omotosho Saheed & Lukman Adedoyin - 27-50 Co-Evolutionary Dynamics Of Financial Inclusion Of Generation Z In A Sub-Saharan Digital Financial Ecosystem
by Diana Kangwa & Joseph Thokozani Mwale & Junaid M. Shaikh - 51-75 Factors Affecting The Adoption Of Fintech: A Study Based On The Financial Institutions In Bangladesh
by Nasima Khatun & Marzia Tamanna - 77-85 A Simple Linear Test Of The Integration In Corporate Bond Markets
by Ruchira Panda & Dinabandhu Bag - 87-99 Market Timing Abilities Of Large-Cap Equity Mutual Fund Managers: Evidence From India
by V. Veeravel & S. Mohanasundaram - 101-118 Relativity Of Indian Stock Market With Exchange Rate, Gold And Crude Oil
by A.N. Vijayakumar
2020, Volume 9, Issue 3
- 9-23 Sentimental Herding: The Role Of Covid-19 Crisis In The Egyptian Stock Market
by Mostafa Hussein Abd-Alla - 25-43 Examining The Long Memory In Stock Returns And Liquidity In India
by Anju Bala & Kapil Gupta - 45-60 Interest Rate Predictability In Some Selected African Countries
by Hans Patrick Bidias-Menik & Simplice Gaël Tonmo - 61-81 Moderating Effect Of Firm Size On Capital Structure Determinants: Evidence From Indian Food Processing Industry
by Rajesh Desai & Jay Desai - 83-98 Mobile Financial Services In The Context Of Bangladesh
by Md. Humayun Kabir & S.S.M. Sadrul Huda & Omar Faruq - 99-113 Corporate Governance And Post-Merger Performance: Evidence From Us Banks
by Amira Neffati & Wided Khiari & Azhaar Lajmi - 115-130 Role Of Microfinance Institutions In Financing Micro And Small Enterprises In Ethiopia
by Betgilu Oshora & Maria Fekete-Farkas & Zoltan Zeman - 131-143 Determination Of The Benefits And Risks Of Peer-To-Peer (P2p) Lending: A Social Network Teory Approach
by Nadia Nahar Purkayastha & Şule Erdem Tuzlukaya - 145-160 Board Diligence And Financial Performance: Evidence From Nigerian Deposit Money Banks
by Wasiu Abiodun Sanyaolu & Babatunde Titus Adejumo & Idris Kadiri - 161-176 Time-Series And Cross-Sectional Momentum In Indian Stock Market
by Simarjeet Singh & Nidhi Walia
2020, Volume 9, Issue 2
- 9-24 For A New Method Of Calculating The Disclosure Index
by Hedi Baazaoui - 25-44 Linear And Non-Linear Granger Casuality Between Foreign Direct Investment And Economic Growth: Evidence From India
by Ishfaq Hamid & Pabitra Kumar Jena - 45-64 Bank Credit Accessibility And Performance Of Smes In Kwara State, Nigeria: A Pls-Sem Analysis
by Mubaraq Sanni & Lukman Adebayo Oke & Idayat Titilayo Alayande - 65-86 Determinants Of Informal Economy Estimation In Ethiopia: Multiple-Indicators, Multiple-Causes (Mimic) Approach
by Sintayehu Tulu Wondimu & Mathewos Woldemariam Birru
2020, Volume 9, Issue 1
- 9-29 Sustainability Reporting And Firm Performance In Developing Climes: A Review Of Literature
by Hope Osayantin Aifuwa - 31-56 Innovation In Financial Services: The Case Of Bangladesh
by S.S.M. Sadrul Huda & MD. Humayun Kabir & Nurun Naher Popy & Sunny Saha - 57-76 Board Characteristics And The Likelihood Of Financial Statement Fraud
by Muhammed Lawal Subair & Ramat Titlayo Salman & Ayodeji Fatai Abolarin & Abdulrasheed Taiwo Abdullahi & Akeem Sisofa Othman - 77-100 Financial Innovation, Risk Management, And Bank Performance
by Ghazi Zouari & Imen Abdelmalek
2019, Volume 8, Issue 4
- 7-25 The Impact Of Ict On Taxation: Evidence From Oyo State
by Tajudeen Adejare Adegbite & Mustapha Bojuwon & Adenike Foluke Adegbite - 27-46 Choosing Equity As A Source Of Finance: Perception Of Sme Promoters
by Ansita Aggarwal & Satya Ranjan Acharya - 47-60 Impact On Capital Structure Decision Making: Indian Medium-Sized Food Industry Analysis
by Ansita Aggarwal & Satya Ranjan Acharya - 61-89 Accounting Information And Lending Decision: Does Sustainability Disclosure Matter?
by Hope Osayantin Aifuwa & Musa Saidu & Osaruese Cynthia Enehizena & Albert Osazevbaru - 91-111 Optimal Control Theoretic Approach To Investment In Doctors
by Mustafa Akan - 113-132 Information Content Of Stocks In Call Auction Of Shorter Duration In Emerging Market
by Dinabandhu Bag - 133-148 Capital Structure As Determinant Of Financial Performance: Review Of Literature
by Jay Desai & Rajesh Desai - 149-169 Estimating Hedging Effectiveness Using Variance Reduction And Risk-Return Approaches: Evidence From National Stock Exchange Of India
by Mandeep Kaur & Kapil Gupta - 171-184 Assessment Of The Environmental Pollution Determinants In The Economy Sectors Of Lithuania
by Astrida Miceikienė & Daiva Rimkuvienė & Kristina Gesevičienė - 185-201 Determinants Of The Profitability Of Commercial Banks In Ethiopia
by Muktar Abdela Shifa & Kenenisa Lemmi Debela & Endalew Gutu Tarfa
2019, Volume 8, Issue 3
- 7-47 The Transformation Of The Corporate Governance Model: A Literature Review
by ATM Adnan & Nisar Ahmed - 49-74 The Characteristics Of Top Managment And Firm’S Earnings Management: The Evidence Form Thailand
by Rojana Khunkaew & Yang Qingxiang - 75-94 Evaluating Voltality Persistence Of Stock Returtn In The Pre And Post 2008-2009 Financial Meltdown
by Kamaldeen Ibraheem Nageri - 95-114 An Empirical Analysis Of Corporate Capital Structure And Financial Performance Of Listed Conglomerates In Nigeria
by Lukman Adebayo Oke & Daud Omotosho Saheed & Yusuf Olamilekan Quadri
2019, Volume 8, Issue 2
- 7-23 An Evaluation Of The Effect Of Taxation Policy On Inflation In Nigeria
by Tajudeen Adejare Adegbite - 25-47 The Impact Of Intangible Factors On Profitability: Evidence From Corporations Traded At Muscat Securities Market In Oman
by Mike Onder Kaymaz & Ilker Yilmaz & Ozgur Kaymaz - 49-65 Integration Of Financial Risks With Non Financial Risks: An Exploratory Study From Pakistani Context
by Syed Alamdar Ali Shah - 67-86 Investor’S Stock Selection Decision: Influence Of Profitability, Company Size, And Raroc
by Tigor Sitorus & Kendo Yuganda - 87-115 Analysis Of The Relative Impact Of Monetary And Fiscal Policies On Economic Growth In Ethiopia, Using Ardl Approach To Co-Integration: Which Policy Is More Potent?
by Tekilu Tadesse & Tesfaye Melaku
2019, Volume 8, Issue 1
- 9-25 The Usage Of Mobile Banking Applications In Poland: Empirical Results
by Mikołaj Borowski-Beszta & Anna Kiermas - 27-58 The Tendency Of Households To Invest In An Ecological Modernization Of The Utilized Heating Sources
by Maciej Chodziński - 59-101 Can Mandatory Dividend Policy Reduce The Agency Cost Of Listed Companies? Model Analysis And Empirical Test In China
by Qin Hailin & Zhang Jingxu - 103-124 The Effect Of Social Capital On Operational Performance: Research In Banking Sector In Erbil
by Ahmed Abdulqader Hamad & Şule Tuzlukaya & Erdem Kırkbeşoğlu - 125-138 Tradiotional Fiscal Devices In Polnad And The Concept Of Their Modernization
by Marta Jakubowska
2018, Volume 7, Issue 4
- 9-29 The Social Background Of Brexit
by Ahmed L.M. Ahmed - 31-45 Financial Stability Of Local Government Units – Legal And Economic Approach
by Małgorzata Cilak - 47-57 Wealth Managment Market In China Opportunities And Challenges
by Tomasz Dziawgo - 59-70 Cross-Selling And Up-Selling In A Bank
by Julia Kwiatkowska - 71-86 Stock Market Indices As A Measurment Tool For Profitability Of Corporate Social Responsibility Activities
by Anna Laskowska - 87-97 Crypto Currency – A New Challenge For The Economy Of Georgia
by Eka Lekashvili & Lela Mamaladze - 99-113 The Usefulness Of Financial Reporting For Financial Instruments In The Decision-Making Processes Of Individual Investors
by Jarosław Pawłowski - 115-125 The Unique Opportunities Of Accounting To Promote Transparency Of Economic Processes
by Tetyana Slyozko & Lyudmila Kurilo & Oleksandra Mazina
2018, Volume 7, Issue 3
- 9-28 Corporate Social And Environmental Disclosures And Market Value Of Listed Firms In Nigeria
by Okwy Peter Okpala & Oluwamayowa Olalekan Iredele - 29-53 The Joint Effect Of Borrower Targeted Macroprudential Instruments And Capital Regulations On Procyclicality Of Loan-Loss Provisions
by Małgorzata Olszak & Sylwia Roszkowska & Iwona Kowalska - 55-70 Propaganda Of Success In The Area Of The State’S Social And Economic Policy
by Dariusz Piotrowski - 71-88 Innovativeness Of The Polish Economy In The Context Of Sustainable Development
by Wiesława Ziółkowska
2018, Volume 7, Issue 2
- 9-28 Managing Solid Urban Waste In Italy: An Economic, Financial, And Environmental Performance Analysis
by Francesca Bartolacci & Michela Soverchia & Ermanno Zigiotti - 29-41 The Macroeconomic Drivers Of Household Debt-To-Income Ratio: An Evidence Frome The Oecd Countries
by Piotr Bolibok - 43-61 Dividend Practices In Listed Banks Of Bangladesh
by Mohammad Shahidul Islam - 63-76 Financing The Solar Energy Market Through The Use Of Securitization – The Case Of The United States
by Maciej Pawłowski - 77-98 Mathematical Model For The Evolutionary Dynamic Of Innovation In City Public Transport Systems
by Hernán Darío Toro-Zapata & Gerard Olivar-Tost - 99-110 The Initial Coin Offering – Challenges And Opportunities
by Anna Wiśniewska - 111-125 The Significance Of The Gri (Global Reporting Initiative) Standard In Reporting Of Environmental Information. The Analysis Of Polish Banking Sector In The Face Of Regulatory Changes
by Justyna Zabawa
2018, Volume 7, Issue 1
- 9-19 Principles Of Support For The Common Good Services Co-Financed From Public Financial Means
by Magdalena Kogut-Jaworska - 21-33 Using Accounting Information For Strategic Decision-Making In A Multi-Segmented Company
by Lyudmila Mihaylova & Emil Papazov - 35-50 Csr In American Banking Sector
by Tomasz Murawski - 51-66 Individual Investors On The Financial Market In Poland
by Jarosław Pawłowski - 67-81 Accelerators For Startups In Europe
by Anna Serwatka
2017, Volume 6, Issue 4
- 9-21 The Level Of Shadow Economy In Warmińsko-Mazurski And Kujawsko-Pomorski Regions
by Andrzej Buszko - 23-37 The Role Of Cashless Transactions In The Process Of Limiting The Scale Of The Shadow Economy
by Marta Jakubowska - 39-68 Contagion And Divergence On Sovereign Bond Markets
by Piotr Jaworski & Kamil Liberadzki & Marcin Liberadzki - 69-83 The Green Bond As A Prospective Instrument Of The Global Debt Market
by Anna Laskowska - 85-103 The Influence Of Asset And Profitability Toward Share Value: Mediation Effect Of Liquid Asset
by Tigor Sitorus & Denny
2017, Volume 6, Issue 3
- 9-19 Variability Of Accounting Policies – Advantages And Disadvantages
by Julija Bojarenko - 21-33 Locality And The Transfer Of Funds In The Cooperative Banking Sector In Poland
by Maria Magdalena Golec - 35-46 Pension Valorization Method – Selected Issues
by Anna Kobylińska & Maciej Balcerowski - 47-61 Economic Activity And Social Determinants Versus Etrepreneurship In Smes – Selected Aspects
by Joanna Małecka & Teresa Łuczka & Jarmila Šebestová & Roman Šperka - 63-73 Financial Consequences Of Cyber Attacks Leading To Data Breaches In Healthcare Sector
by Marta Meisner - 75-94 Low Cost Retirement Solutions Based On Robo-Advisors And Exchange Traded Funds
by Kamil Nowak - 95-109 Non-Financial Information And Integrated Reporting In The Hospitality Industry: Case Study Of Croatia
by Milena Peršić & Lahorka Halmi
2017, Volume 6, Issue 2
- 9-21 Heavy-Tailed Distributions And The Canadian Stock Market Returns
by David Eden & Paul Huffman & John Holman - 23-31 Investment Platforms Evolutions – Etf Funds
by Karol Kraiński - 33-43 Convergence Of Health Expenditure In Eu 12 And V4 States
by Piotr Kułyk & Łukasz Augustowski - 45-58 The Role Of The Amount Of Money In Risk-Taking
by Viktor Nagy - 59-69 The Role Of Instant Payment Systems In The Polish Economy
by Dominik Sadłakowski - 71-86 Creative Accounting Practicies In Slovakia After Passing Financial Crisis
by Miroslav Škoda & Tomáš Lengyelfalusy & Gabriela Gabrhelová
2017, Volume 6, Issue 1
- 9-31 An Analysis Of Brokerage Recommendations For The Biggest Companies Of Wig20
by Zbigniew Drewniak - 33-53 Higher Education Funding: Comparative Analysis Of Portugal And Poland Public Systems
by Danuta Dziawgo & Isidro Féria & Sandra Saúde - 55-65 Socially Responsible Investment In Asia
by Justyna Kłobukowska - 67-76 Legal Regulation Of Tourism Business In Georgia
by Eka Lekashvili & Veko Dodashvili - 77-87 Robustness Of The Bank Resolution Framework In The European Union
by Jan Pys - 89-101 Eu Energy Union: Adjustment To The New Development Cycle
by Jurijs Spiridonovs & Olga Bogdanova
2016, Volume 5, Issue 2
- 9-25 Sustainability, Consumption, And Technology
by Mustafa Akan - 27-44 Liquidity-Profitability Tradeoff Existence In Turkey: An Empirical Investigation Under Structural Equation Modeling
by Furkan Baser & Soner Gokten & Guray Kucukkocaoglu & Hasan Ture - 45-56 The Impact Of The 2007–2009 Financial Crisis On Risk Management In Credit Institutions
by Michał Boda - 57-72 Managing Financial Stability By The European Central Bank In The Period 2008–2012
by Radosław Ciukaj - 73-83 A Risk Management System In Insurance Undertaking
by Paweł Dzięcioł - 85-108 Risky Risk Measures: A Note On Underestimating Financial Risk Under The Normal Assumption
by Christiane Goodfellow & Christian Salm - 109-123 Business Model And Its Dilemmas Of Choice
by Jan Komorowski - 125-147 Measuring Competitiveness Of Banks In Latvia
by Deniss Krasovskis & Andrejs Limanskis & Erika Pancenko - 149-161 Corporate Social Responsibility In Japanese Banking Sector
by Tomasz Murawski - 163-179 Implementation Of Alternative Index Weighting To Warsaw Stock Exchange
by Kamil Nowak - 181-200 Disclosing Non-Financial Information In Companies’ Reports In Croatia
by Milena Peršić & Lahorka Halmi - 201-217 Fields Of Potential Use Of Cryptocurrencies In The Payment Services Market In Poland – Results Of An Empirical Study
by Anna Iwona Piotrowska - 219-232 Responsibility Accounting Inspiration For Segment Reporting
by Tomasz Zimnicki
2016, Volume 5, Issue 1
- 9-24 A dynamic model of a nonlife insurance company
by Mustafa Akan - 25-37 An empirical evaluation of selected accounting-based value drivers in the Polish banking sector
by Piotr Bolibok - 39-65 The Impact of the Preliminary Announcement on the Abnormal Returns of the Companies Involved in Takeover Bids in the Portuguese Stock Market between 2000 and 2014
by João Paulo Braga & Luís M. Pereira Gomes - 67-90 Comparison of multi criteria decision making (MCDM) methods with respect to performance of food firms listed in BIST
by Namık Kemal Erdoğan & Serpil Altınırmak & Çağlar Karamaşa - 91-105 Basel III Equity Requirements and a Contemporary Rating Approach
by Günter Hofbauer & Monika Klimontowicz & Aleksandra Nocoń - 107-123 Analysis and evaluation of capital adequacy in Latvian banking system
by Natalia Konovalova & Snezhana Dalecka - 125-139 Scope and assessment of the insurance for members of voluntary fire brigades provided by local government
by Angelika Kuligowska - 141-156 Evaluation of relationship between banks lending activities and the economies in Baltic countries
by Aušrinė Lakštutienė & Aida Barkauskaitė - 157-172 Capital Flows in European Union on the Basis of International Investment Position – Selected Aspects
by Iwona Maciejczyk-Bujnowicz - 173-183 Accountancy-Based Sources of Information for Planning Purposes in SMEs
by Emil Papazov & Lyudmila Mihaylova - 185-194 Sustainability transition needs sustainable finance
by Bożena Ryszawska
2015, Volume 4, Issue 2
- 9-26 Forecasting the Jordanian stock index: modelling asymmetric volatility and distribution effects within a GARCH framework
by Heitham Al-Hajieh & Hashem AlNemer & Timothy Rodgers & Jacek Niklewski - 27-41 SWOT analysis of Turkish Energy Market in the context of Electricity Market in the context of electricity market
by Hakan Çelıkkol & Fatma Köse - 43-63 The evaluation of the students in Dumlupinar University Vocational School of Social sciences about levels of financial literacy
by Mediha Mine Çelikkol & Hakan Çelıkkol - 65-77 Professional financial and accounting services in the light of European Union directives and the deregulation of professions in Poland – current status and research needs
by Marlena Ciechan-Kujawa - 79-89 The exploration of disposition effect among business undergraduates in Poland
by Monika Czerwonka - 91-108 The impact of long-lived non-financial assets depreciation/amortization method on financial statements
by Ieva Kozlovska - 109-127 Framework for improving quality and comparability of non-financial reporting system
by Milena Peršić & Katarina Bakija & Dubravka Vlašić - 129-143 Lobbying on the IASB Standards: An analysis of the Lobbyists’ Behaviour over Period 2006–2014
by David Procházka - 145-158 The importance of prudential regulations in the process of transmitting monetary policy to economy
by Magdalena Redo - 159-176 The Study of Risk-Weighted Assets on the Effects of Loan Exposure Valuation towards Credit Default (an empirical study on middle and top local banks listed in Indonesia stock exchange period 2008–2012)
by Tigor Sitorus - 177-193 Human motivation and corporate governance
by Diana Larisa Tampu - 195-209 The January seasonality and the performance of country-level value and momentum strategies
by Adam Zaremba - 211-235 Evaluation of ATM Cash Demand Process Factors Applied for Forecasting with CI Models
by Gediminas Žylius
2015, Volume 4, Issue 1
- 9-25 A Solution To Eradicate Jobless Growth: Meritocracy
by Abdullah Burhan Bahçe & Öner Gümüş - 27-44 The Structural Analysis Of Construction Sector Of Turkey And Its Effect On The Selected Macroeconomic Indicators
by Orhan Çoban & Emıne Üstündaĝ & Ayşe Çoban - 45-54 Sustainable Development in Norway on the example of Government Pension Fund Global
by Julita Fiedorczuk - 55-70 Transnational Corporations in the World Economy: Formation, Development and Present Position
by Małgorzata Jaworek & Marcin Kuzel - 71-81 Study of profitability of organization of tourism routes (on the example of Sheki-Zagatala Economic Region of Azerbaijan)
by Rovshan Karimov & Vugar Dargahov - 83-96 The fiscal challenges of Polish integration with the euro area
by Alicja Kasperowicz - Stępień - 97-107 Comparative analysis of the bail-in tool
by Jakub Kerlin & Anna Maksymiuk - 109-130 Imbalanced Liquidity Risk Management: Evidence from Latvian and Lithuanian Commercial Banks
by Natalia Konovalova & Julia Zarembo - 131-145 The analysis of the capacity of the selected measures of decision-making models in companies
by Helena Kościelniak & Beata Skowron-Grabowska & Sylwia Łęgowik-Świącik & Małgorzata Łęgowik-Małolepsza - 147-156 Credit risk measures – a case of renewable energy companies
by Eduardo Sá e Silva & Adalmiro Andrade Pereira - 157-171 Estimated values: the provisions and the write-downs of assets as tools to manipulate financial results of enterprises
by Konrad Stępień - 173-185 Risk in providing accounting services in the context of new regulations regarding liability insurance (OC) in Poland
by Katarzyna Świetla
2014, Volume 3, Issue 2
- 9-24 Greening financial market
by Leszek Dziawgo - 25-36 Market and non-market factors influencing the development of green energy producers
by Bogna Janik - 37-48 Stock Exchanges Sustainability Support Assessment
by Marcin Kalinowski - 49-66 The imperative of sustainable growth and reporting integration. The fourth era in the corporate reporting development
by Anna Karmanska - 67-78 Problems of regulations for SME in Poland – institutional and cultural context
by Stanislaw Kasiewicz & Lech Kurklinski - 79-89 Regulation of financial condition insurers in the Russian Federation and assessment the insurers by insured
by Nadezda Kirillova - 91-109 Advanced Private Banking in Terms of Ecology
by Kamil Nowak - 111-126 The financial aspect of intergenerational solidarity from the point of view of the senior
by Dariusz Piotrowski - 127-136 Environmental charges levied on power plants
by Michal Ptak - 137-149 Business-to-business platforms as a part of e-commerce – possibilities of practical use by Polish enterprises
by Anna Pyka & Joanna Blach - 151-166 The impact of a Higher Education Institution on Socioeconomic Development – the Study Case of the Polytechnic Institute of Beja, Portugal
by Sandra Saude & Carlos Borralho & Isidro Feria & Sandra Lopes - 167-181 IPO Initial Underpricing Anomaly: the Election Gimmick Hypothesis
by Adam Zaremba & Radoslaw Zmudzinski
2014, Volume 3, Issue 1
- 9-18 Catholic social teaching, sustainable development and social solidarism in the context of social security
by Stanislaw Adamiak & Damian Walczak - 19-32 State aid as a tool encouraging production of energy from renewable sources
by Bartosz Bartniczak - 33-43 The impact of IFRS on the value relevance of accounting data of banks listed on the Warsaw Stock Exchange
by Piotr Bolibok - 45-60 Investments in stock of banks implementing high social responsibility standards listed on the Warsaw Stock Exchange
by Michal Buszko - 61-71 Real options in the assessment of the company’s pro-ecological investments
by Ewa Dziawgo - 73-82 The imperative of sustainable growth and reporting integration. Three eras in the corporate reporting development
by Anna Karmanska - 83-95 Authorised Adviser – as a company of public trust in the NewConnect OTC (Over-The-Counter) exchange
by Bozena Kolosowska & Grazyna Voss - 97-108 Application of statistical methods in the diagnosis of environmental conditions of development of Lower Silesian voivodship in years 2006–2012
by Tomasz Kopyscianski & Tomasz Rolczynski - 109-119 The efficiency of public insurance supervision vs. Pareto efficiency
by Robert Kurek - 121-133 Evolution of ecological financial market from the perspective of institutional economics
by Michal Moszynski & Marcelina Wieckowska - 135-144 Object-based costing as an important tool for the economic analysis of sustainable development
by Monika Raulinajtys-Grzybek & Gertruda Krystyna Swiderska - 145-160 Models of tax incentives for R&D activities of enterprises in European Union countries
by Joanna Szlezak-Matusewicz - 161-173 Public finance crisis and sustainable development financing – evidence from EU economies
by Tomasz Uryszek
2013, Volume 2, Issue 2
- 11-26 Social Security in Poland - Cultural, Historical and Economical Issues
by Stanislaw Adamiak & Ewa Chojnacka & Damian Walczak - 27-43 Swiss franc mortgage loans – a threat or source of benefits to borrowers?
by Michal Buszko - 45-60 Money illusion – the essence, social and economic costs and ways of their reduction in the light of sustainable development concept
by Robert Huterski - 61-73 Funding sources in mobile payments systems
by Michal Kisiel - 75-89 Role and tasks of payment integrators in the Polish e-commerce
by Janusz Kunkowski - 91-110 Polish Security Printing Works in the system of public and economic security
by Remigiusz Lewandowski - 111-124 Impact of interchange fees rates on the Polish payment cards market
by Krzysztof Maciejewski - 125-152 “Board independence” and compensation structure of directors
by Elena Merino & Montserrat Manzaneque & Alba Maria Priego - 153-165 Derivatives as security against market risk on the example of the selected companies
by Jaroslaw Pawlowski - 167-187 Book-keeping in Mesopotamia in the Third and Second Millennium BC
by Slawomir Sojak - 189-201 The importance of shadow banking sector entities for population affected by credit exclusion
by Malgorzata Solarz - 203-214 Expert auditors’ services classification
by Jolanta Wisniewska
2013, Volume 2, Issue 1
- 9-20 Freedom of choice of a lawyer
by Maciej Balcerowski - 21-38 Bookkeeping techniques in historical perspective
by Aleksandra Banaszkiewicz - 39-49 Obligatory third party liability insurance for professionals
by Diana Renata Bozek - 51-63 Private equity and venture capital – theoretical considerations
by Zbigniew Drewniak - 65-77 Attitude of the International Monetary Fund to a concept of sustainable development
by Robert Huterski - 79-89 The impact of the greenhouse gas emission allowances trading system on the enterprise value
by Pawel Jankowski - 91-105 Risk appraisal in the award of contract bonds
by Anna Janska - 107-118 The development of contactless payment market in Poland and in the world
by Janusz Kunkowski - 119-137 The development of Polish venture capital and private equity market
by Izabela Lulek - 139-152 The use of electronic distribution channels of banking services in Poland
by Michal Polasik - 153-167 The role bonds in financing climate resilient economy
by Marcelina Wieckowska - 169-189 Changes in Ias 1 and the practices of selected companies listed on the Warsaw Stock Exchange
by Edyta Winnicka
2012, Volume 1, Issue 1
- 9-22 Corporate Social Responsibility accounting in the context of the selected cultural aspects of the twenty-first century
by Aleksandra Banaszkiewicz & Ewa Makowska - 23-38 Foreign currency housing loans and exchange rates – risk evaluation
by Michal Buszko - 39-52 Cost management of e-business projects
by Marlena Ciechan-Kujawa & Katarzyna Goldmann - 53-64 Arrangement of functioning of shadow banking in Poland and in the European Union
by Agnieszka Huterska & Robert Huterski - 65-80 Selected aspects of due diligence of sovereigns
by Sebastian Hyzyk