Content
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 - 34-46 Regulations and Technology Behind HFT Latency, Batch Auctions and Payments for Order Flow in the US and EU
by Martins Carlos Jorge Lenczewski - 47-57 Tax Exemptions in Excise Duty in the Context of Fiscal Efficiency
by Sygut Edyta - 58-66 The Significance of Openness and Transparency for Accountability in Public Finances
by Szołno-Koguc Jolanta - 67-82 Comparison of Semi-Parametric and Benchmark Value-At-Risk Models in Several Time Periods with Different Volatility Levels
by Buczyński Mateusz & Chlebus Marcin - 83-91 Corporate Income Tax Contribution of the Polish Financial Sector
by Stiller Wojciech
March 2018, Volume 14, Issue 1
- 1-11 Application of Probabilistic Inference in Defining Impact of the General Government Sector’s Size on the Economy and Determining the Size of the Sector by the Economy in the EU
by Mroczek Teresa & Skica Tomasz & Rodzinka Jacek - 12-26 Provision of Loans as a Strategic Choice of an Enterprise
by Białek-Jaworska Anna & Opolski Krzysztof - 27-38 Terminal Value Calculation in DCF Valuation Models: An Empirical Verification
by Behr Adam & Mielcarz Paweł & Osiichuk Dmytro