Bank i Kredyt
2008 - 2024
From Narodowy Bank Polski Contact information at EDIRC. Bibliographic data for series maintained by Wojciech Burjanek (). Access Statistics for this journal.
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Volume 46, issue 6, 2015
- Asymmetric shocks and international risk sharing in the European Monetary Union and the European Union pp. 523-564

- Henryk Bak and Sebastian Maciejewski
- Commercial property price index for Poland pp. 565-578

- Robert Leszczynski and Krzysztof Olszewski
Volume 46, issue 5, 2015
- Log-volatility enhanced GARCH models for single asset returns pp. 411-432

- Tomasz Skoczylas
Volume 46, issue 4, 2015
- The shape of aggregate production functions: evidence from estimates of the World Technology Frontier pp. 299-326

- Jakub Growiec, Anna Pajor, Dorota Gorniak and Artur Predki
Volume 46, issue 3, 2015
- Shielding money creation from severe banking crises: How useful are proposals offered by the alternative reform plans? pp. 191-206

- Andrzej Slawinski
- Banking regulation and bank performance in the EU – what should be the scope of the regulatory reform? pp. 207-236

- Katarzyna Sum
Volume 46, issue 2, 2015
- North-North FDI, exporting and the first mover advantage pp. 109-128

- Andrzej Cieślik
Volume 46, issue 1, 2015
- Impact of labour market shocks on business cycle fluctuations in Poland pp. 1-40

- Ma�gorzata Skibi�ska
Volume 45, issue 6, 2014
- A factor-augmented model of markup on mortgage loans in Poland pp. 491-512

- Victor Bystrov
- Is illiquidity risk priced? The case of the Polish medium-size emerging stock market pp. 513�536

- Joanna Olbry�
Volume 45, issue 5, 2014
- The quest for determinants of Chinese exchange rate policy pp. 407�432

- Jakub Borowski, Adam Czerniak and Krystian Jaworski
Volume 45, issue 4, 2014
- Does trade drive global output growth? pp. 311-330

- Leon Podkaminer
- Trade effects of the euro adoption by the EU new member states pp. 331-348

- Andrzej Cieślik, Jan Michałek and Jerzy Mycielski
- Transaction costs and volatility on Warsaw Stock Exchange: implications for financial transaction tax pp. 349-372

- Michał Zator
Volume 45, issue 3, 2014
- “Every move you make, every step you take, I’ll be watching you” – the quest for hidden orders in the interbank FX spot market pp. 197-224

- Katarzyna Bień-Barkowska
Volume 45, issue 2, 2014
- Patterns of debt possession among households in Poland – a multi-group latent class approach pp. 79-104

- Piotr Bialowolski
Volume 45, issue 1, 2014
- Don’t trust anybody over 30: youth unemployment and Okun’s law in CEE countries pp. 1-16

- Oliver Hutengs and Georg Stadtmann
- Dollarization as a signaling device pp. 17-36

- Krzysztof Makarski
- Empirical versus policy equivalence scales: matching estimation pp. 37-52

- Adam Szulc
Volume 44, issue 6, 2013
- Spillovers and contagion in the sovereign CDS market pp. 571-604

- Michał Adam
- Horizontally-integrated MNE and plant heterogeneity pp. 605-622

- Andrzej Cieślik
Volume 44, issue 5, 2013
- The evolving structure of Polish exports (1994−2010) – diversification of products and trade partners pp. 435-466

- Aleksandra Parteka
- On the measurement of technological progress across countries pp. 467-504

- Jakub Growiec
- Does human factor matter for economic growth? Determinants of economic growth process in CEE countries in light of spatial theory pp. 505-532

- Justyna Supińska
Volume 44, issue 4, 2013
- Persistent gaps between purchasing power parities and exchange rates under the law of one price: a puzzle (partly) explained? pp. 333-352

- Leon Podkaminer
Volume 44, issue 3, 2013
- Short-run impact of the implementation of EU climate and energy package for Poland: computable general equilibrium model simulations pp. 237-260

- Jan Hagemejer and Zbigniew Żółkiewski
Volume 44, issue 2, 2013
- Regulation and self-regulation in banking: in search of optimum pp. 119-158

- Monika Marcinkowska
- Regional wage determinants in Poland: the empirical verification of the NEG approach pp. 159-174

- Andrzej Cieślik and Bartlomiej Rokicki
Volume 44, issue 1, 2013
- The interdependences of central bank’s forecasts and inflation expectations of consumers pp. 33-66

- Magdalena Szyszko
Volume 43, issue 6, 2012
- Division of Labour and Innovation with Indivisibilities: Lessons from A. Smith pp. 7-28

- Krzysztof Makarski
Volume 43, issue 5, 2012
- Consumption function for Poland. Is life cycle hypothesis legitimate?

- Katarzyna Leszkiewicz Kędzior and Władysław Welfe
Volume 43, issue 4, 2012
- Mortgage down-payment and welfare in a life-cycle model pp. 5-28

- Michał Rubaszek
- Greek ricochet? What drove Poles’ attitudes to the euro 2009-2010 pp. 29-84

- Joanna Osińska and Andrzej Torój
Volume 43, issue 3, 2012
- The long-term economic impact of the flat tax in Poland. CGE simulation under alternative assumptions pp. 5-30

- Jakub Boratyński and Jakub Borowski
- Labour market matching – the case of Poland pp. 31-46

- Ewa Gałecka-Burdziak
- The integration of the financial markets and growth evidence from a global cross-country analysis pp. 47-70

- Katarzyna Sum
Volume 43, issue 2, 2012
- Changes in the productivity of banks situated in Poland during the years preceding the financial crisis pp. 5-24

- Katarzyna Chudy, Marek Sobolewski and Kinga Stępień
Volume 42, issue 6, 2011
- Temporary migration in theories of international mobility of labour pp. 7-48

- Katarzyna Budnik
Volume 42, issue 5, 2011
- Competition in the Polish banking market prior to recent crisis for the period 1997–2007 – empirical results obtained with the use of three different models pp. 5-40

- Małgorzata
- About some difficulties with interpreting and measuring corporate performance pp. 41-60

- Julia
Volume 42, issue 3, 2011
- Business cycle synchronization according to wavelets – the case of Poland and the euro zone member countries pp. 5-32

- Joanna Bruzda
- Fiscal tightening after the crisis. A scenario analysis for Poland pp. 33-66

- Jan Hagemejer, Tomasz Jedrzejowicz and Zbigniew Zolkiewski
Volume 42, issue 2, 2011
- Why so different from other CEECs – Poland’s cyclical divergence from the euro area during the recent financial crisis pp. 7-30

- Karolina Konopczak and Krzysztof Marczewski
Volume 42, issue 1, 2011
- Do exchange-rate forecasters herd? A note on the zloty/dollar and yen/dollar exchange rate pp. 7-18

- Georg Stadtmann and Dirk Schäfer
- Country and industry factors as determinants of corporate financial liquidity in the European Union countries pp. 19-48

- Julia Koralun-Bereźnicka
- Practical and theoretical aspects of market-consistent valuation and hedging of insurance liabilities pp. 49-78

- Łukasz Delong
Volume 41, issue 6, 2010
- Inflation and corporate investment – a critical survey pp. 5-44

- Piotr Ciżkowicz, Marcin Hołda and Andrzej Rzońca
- On the power of direct tests for rational expectations against the alternative of constant gain learning pp. 71-84

- Victor Bystrov and Anna Staszewska-Bystrova
Volume 41, issue 4, 2010
- Criticizing the critique. Some methodological insights into the debate on the state of economic theory in the face of the post 2008 crisis pp. 7-22

- Lukasz Hardt
- Income and consumption inequality in Poland, 1998–2008 pp. 45-72

- Michał Brzeziński and Krzysztof Kostro
Volume 41, issue 3, 2010
- Safety net still in transition: labour market incentive effects of social support in Poland and Germany pp. 5-34

- Peter Haan and Michal Myck
- “Show me the money” – or how the institutional aspects of monetary policy implementation render money supply endogenous pp. 35-82

- Juliusz Jabłecki
Volume 41, issue 2, 2010
- Intraday CAC40, DAX and WIG20 returns when the American macro news is announced pp. 7-20

- Barbara Będowska-Sójka
Volume 41, issue 1, 2010
- Implications of the Doha Round negotiations in services for Poland pp. 5-30

- Jan Hagemejer, Jan Michałek and Tomasz Michałek
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