Financial Internet Quarterly (formerly e-Finanse)
2016 - 2025
Current editor(s): Tomasz Skica From Sciendo Bibliographic data for series maintained by Peter Golla (). Access Statistics for this journal.
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Volume 19, issue 4, 2023
- Differences in business fraud between state-owned and private companies: case of Croatia pp. 1-8

- Bartulović Marijana, Perkušić Dijana and Kovačević Ivan
- Domestic capital vs. foreign capital new enterprise creation: the case of FDI in India pp. 9-24

- Sajikumar Tulasidharan and Da Silva Amândio F. C.
- How COVID-19 Affected Corporate Dividend Decisions: Novel Evidence from Emerging Countries pp. 25-48

- AlGhazali Abdullah Mohammed and Yilmaz Ilker
- Colour Symbolism in Finance pp. 49-62

- Błażej Prusak and Mushafiq Muhammad
- Assessment of public education expenditure efficiency across Lithuanian municipalities pp. 63-79

- Legenzova Renata, Gaigalienė Asta, Rudytė Dalia, Skunčikienė Solveiga and Kazlauskienė Vilma
- The determinants of green finance and effect on the banking sector pp. 80-96

- Gör Yusuf and Tekin Bilgehan
- ESG Volatility Prediction Using GARCH and LSTM Models pp. 97-114

- Mishra Akshay Kumar, Kumar Rahul and Bal Debi Prasad
- The dynamic relationship between BTC with BIST and NASDAQ indices pp. 113-126

- Ulu Cagri
Volume 19, issue 3, 2023
- Top management team diversity impact on financial performance: Evidence from VW Group affiliated firms pp. 1-15

- Velinov Emil
- The role of impartial administration in financial sector performance: A comparative study of Latin America and Sub-Saharan African countries pp. 16-30

- Dirir Sadik Aden
- Risk assesment as a stage of risk management in enterprise in tourism sector pp. 31-47

- Nedyalkova Plamena
- Entropy-Based Waspas approach for financial performance in the COVID-19 era: Evidence from Islamic countries pp. 48-61

- Erdogan Hilal H.
- An assessment of the risk mitigating factors in Ghana’s Bank Industry pp. 62-74

- Alnaa Samuel Erasmus and Juabin Matey
- Games in a foreign exchange market and solutions pp. 75-86

- Habibi Reza
- Polish household default risk and physical risk of climate change pp. 87-99

- Kurowski Łukasz and Sokal Katarzyna
- A 10-Year Analysis of Housing Prices and The Influence of Economic Factors in Turkey pp. 100-112

- Muddasir Muhammad and Dondaş Umut
Volume 19, issue 2, 2023
- The impact of IFRS adoption on economic growth in transition countries: Evidence from CIS pp. 1-17

- Abdullaeva Mokhirakhon, Kamrul Hasan A. K. M., Yodgorova Feruza, Khajieva Indira and Nusratova Gulhayo
- Impact of the unconditional basic income on the professional situation of women pp. 18-25

- Kowalska Milena
- Environmental, social, and governance scores and earnings management in telecommunication companies: An international perspective pp. 26-35

- Acar Goksel and Coskun Ali
- Bank failure risk: A study on Silicon Valley Bank, Signature Bank, and Silvergate Capital Corporations pp. 36-45

- Hamurcu Çağri
- Sources of uncertainty and their impact on stock prices evidence from emerging economies pp. 49-67

- Nazir Noman, Bashir Zahid, Izhar Syed Usman and Jamshed Yasir
- Examining the impact of rural finance development on farmers’ incomes in business context. Evidence from “The Belt and Road” from key provinces pp. 65-77

- Qiu-Bin Lin, Döngül Esra Sipahi and Ul-Durar Shajara
- Impact analysis of the factors influencing the development of the alternative finance market in Moldova pp. 78-90

- Paslari Andrei
Volume 19, issue 1, 2023
- Reaction of the USD/PLN currency pair exchange rate to the published macroeconomic data pp. 1-7

- Pasionek Jolanta
- Forex market as the best possible way of investing money during an economic boom and recession pp. 8-20

- Zembura Wojciech
- The concept of associated persons as a key and potentially problematic aspect in transfer pricing pp. 21-33

- Brychta Karel, Abreu Matheus Chebli de, Hudenko Justina, Santos Lucas Scheremetta and Poubel Lucas Cunha do Valle
- Evolution of loyalty programs offered to customers and investors pp. 35-47

- Dziawgo Danuta
- Symmetric and asymmetric volatility: Forecasting the Borsa Istanbul 100 index return volatility pp. 48-56

- Öner Selma and Öner Hakan
- Cryptocurrency as a method of payment in the tourism sector pp. 57-65

- Aiazbekov Azamat
- Relationship between the green finance index, CO2 emission, and GDP pp. 66-77

- Hamurcu Çağrı
Volume 18, issue 4, 2022
- On separation of monetary and fiscal operations in macroeconomics statistics pp. 1-11

- Rybáček Václav and Janáček Julius
- Relationship between government expenditure and economic growth in Visegrad Group pp. 12-22

- Irena Szarowská
- Challenges in transfer pricing: A concept of safe harbours for financial transactions pp. 23-34

- Ištok Michal, Solilová Veronika and Brychta Karel
- Effects of COVID-19 on payment method preferences of Poles pp. 35-49

- Kubiczek Jakub
- Environmental aspects of investing in the Polish stock exchange market according to individual investors pp. 50-60

- Dziawgo Leszek
- Fiscal policy before and during COVID-19 and its impact on the creation of new comapnies pp. 61-76

- Sokołowska Anetta and Trasberg Viktor
- The Miller–Modigliani dividend irrelevance theory as a warning for investors looking for quick profits from investments in companies paying dividends pp. 77-88

- Kowerski Mieczysław and Haniewska Laura
- The risk identification and assesment on the example of companies from the automotive industry in Poland pp. 89-99

- Podgórska Joanna, Mormul Katarzyna and Maksymowicz Janusz
Volume 18, issue 3, 2022
- The effects of global risk indicators on the MSCI emerging markets index pp. 1-10

- Öner Selma
- Determinants of operational efficiency: the case of Saudi Banks pp. 11-20

- Khan Shoaib
- Working capital management efficiency: a study of certified firms from the EFQM excellence model pp. 21-34

- Yousaf Muhammad
- What are the internal determinants of return on assets and equity of the energy sector in Turkey? pp. 35-50

- Tekin Bilgehan
- ‘No poverty’ - sustainable development goals in the light of Polish statistics and social policy activities pp. 51-67

- Palimąka Karolina and Karaś Gabriela
- Net operating loss policies in Poland – a tool for tax neutrality and a firm’s antifragility pp. 68-79

- Cathala Christophe
- The impact of the COVID-19 pandemic on the personal finance - a comparative analysis of Poles and Slovaks pp. 80-87

- Waliszewski Krzysztof
- Economic and financial consequences of war in Ukraine: analysis of development scenarios pp. 88-101

- Bida Marianna and Ruda Iryna
Volume 18, issue 2, 2022
- Are Bankruptcy Models Adequate for Condition Assessment of Companies Listed on Warsaw Stock Exchange? pp. 1-12

- Bolek Monika and Gniadkowska-Szymańska Agata
- Mutual Funds’ Cost Persistence pp. 13-20

- Trzebiński Artur A.
- The Relationship Between CFO Qualifications and Internal Control Weakness pp. 21-29

- Yeh Yaying C., Venezia Chiulien C. and Yang Tzu-Ya
- Household Fuel Choice in Urban Kenya: A Multinomial Logit Analysis pp. 30-41

- Waweru David and Naftaly Mose
- Financial Literacy and New Business Entry pp. 42-66

- Skica Tomasz, Mikuš Juraj and Holienka Marian
- The Role of Customs Procedures in Reduction of Maintenance, Repair and Overhaul Costs in the Aviation Industry pp. 67-82

- Płaza Natalia and Žilinskienė Deimantė
- Estonia and Kazakhstan. Financial and Economic Fate of Economies After the Collapse of the USSR pp. 83-97

- Yembergenkyzy Nazym and Fałda Beata
Volume 18, issue 1, 2022
- How do dynamic financing decisions explain the behavior of dividend payout policies?: An Empirical Study of Listed Pakistani Manufacturing Firms pp. 1-15

- Bashir Zahid, Rafique Zulqurnain Zeeshan and Toor Kashif Naseer
- Comparative analysis of the contribution to the united nations sustainable development goals through non-financial information disclosed by IBEX 35 companies pp. 16-30

- Calvo-Centeno Esperanza, Gragera-Pizarro Enrique, Romero-Ramos Eva and Ropero-Moriones Eva
- Cashless payment system and Covid-19 on the example of the Czech Republic pp. 31-43

- Schlossberger Otakar and Soldánová Marcela
- The role of soft skills in employability in the financial industry pp. 44-55

- Costantino Lorenzo and Rodzinka Jacek
- The impact of capital structure on bank performace in emerging markets; empirical evidence from GCC countries pp. 56-65

- Khan Shoaib
- Can we predict high growth firms with financial ratios? pp. 66-73

- Srhoj Stjepan
- The impact of IFRS adoption on foreign direct investment in CIS pp. 74-90

- Sanjar Sherkulov, Kamrul Hasan A. K. M., Khajieva Indira, Nusratova Gulhayo and Yodgorova Feruza
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