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 14, issue 4, 2018
- Comparison of Risk Index Estimating Methods on the Polish Financial Market pp. 1-11

- Janas Krzysztof
- A Real Or a Marginal Trend in Participatory Budgets in Local Governments pp. 12-21

- Filipiak Beata Zofia and Dylewski Marek
- The Effect of an Electronic Exchange on Prices and Return Volatility in the Fine Wine Market pp. 22-35

- Czupryna Marcin and Oleksy Paweł
- Investment Strategies that Beat the Market. What Can We Squeeze from the Market? pp. 36-55

- Robert Ślepaczuk, Pawel Sakowski and Zakrzewski Grzegorz
- Crowdfunding as an Alternative Method of Raising Capital pp. 56-66

- Wierzbicka Katarzyna
- The Impact of Quantitative Easing on Emerging Markets – Literature Review pp. 67-76

- Bartkiewicz Piotr
- Understanding the Informal Economy in Practice – Evidence from Bosnia and Herzegovina pp. 77-89

- Efendic Nirha, Pasovic Edin and Adnan Efendic
- Students’ Attitudes Towards Starting a Business, on the Example of Students at the University of Information Technology and Management in Rzeszów (Poland) pp. 90-103

- Palimąka Karolina and Rodzinka Jacek
Volume 14, issue 3, 2018
- Openess and Transparency of Fiscal Reporting in Poland – Assessment and Recommendation pp. 1-7

- Jastrzębska Maria
- Financing of Smart Growth in Less Developed Regions on the Example of Poland pp. 8-20

- Murzyn Dorota
- Partial Fiscal Decentralization and Local Government Spending Policy pp. 21-31

- Agnieszka Kopańska
- Corporate Income Tax Rates in the EU Member States: Why Lower Means Better pp. 32-48

- Karpowicz Andrzej
- Local Taxes and Fees as a Source of Revenue for Polish Municipalities: Substitutes or Complements? pp. 49-59

- Łukomska Julita and Neneman Jarosław
- An Analysis of Codified Corporate Governance Practices in the Banking Industry: The Case Study of Bangladesh pp. 60-75

- Yasushi Suzuki and Hasan A K M Kamrul
- Determinants of Public Indebtedness in European Union Countries pp. 76-86

- Janusz Kudła
- Principle of Vat Neutrality and the Reverse Charge Mechanism pp. 87-97

- Famulska Teresa and Rogowska-Rajda Beata
Volume 14, issue 2, 2018
- Determinants of Investment Decisions on the Capital Market pp. 1-8

- Jasiniak Magdalena
- Influence of State Participation on Business Conditions and Entrepreneurship in the EU Countries of the Former Eastern Bloc pp. 9-17

- Domańska Ada and Zajkowski Robert
- Analysis of Spatial Homogeneity of Integrity Standards in Selected EU OECD Countries pp. 18-33

- Filipiak Beata Zofia, Dylewski Marek and Cheba Katarzyna
- Regulations and Technology Behind HFT Latency, Batch Auctions and Payments for Order Flow in the US and EU pp. 34-46

- Martins Carlos Jorge Lenczewski
- Tax Exemptions in Excise Duty in the Context of Fiscal Efficiency pp. 47-57

- Sygut Edyta
- The Significance of Openness and Transparency for Accountability in Public Finances pp. 58-66

- Szołno-Koguc Jolanta
- Comparison of Semi-Parametric and Benchmark Value-At-Risk Models in Several Time Periods with Different Volatility Levels pp. 67-82

- Mateusz Buczyński and Marcin Chlebus
- Corporate Income Tax Contribution of the Polish Financial Sector pp. 83-91

- Stiller Wojciech
Volume 14, issue 1, 2018
- 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 pp. 1-11

- Mroczek Teresa, Skica Tomasz and Rodzinka Jacek
- Provision of Loans as a Strategic Choice of an Enterprise pp. 12-26

- Anna Białek-Jaworska and Opolski Krzysztof
- Terminal Value Calculation in DCF Valuation Models: An Empirical Verification pp. 27-38

- Behr Adam, Mielcarz Paweł and Osiichuk Dmytro
- Analysis of the Financial Situation of Selected Respect Index Companies pp. 39-48

- Stawska Joanna and Grzesiak Lena
- Internal Audit Tool for Minimizing the Risk of Fraud pp. 49-68

- Klamut Elżbieta
- Comparative Analysis of the Key Factors Influencing Healthcare Systems of OECD Countries pp. 69-78

- Miszczyńska Katarzyna M.
Volume 13, issue 4, 2017
- Information needs of financial market professionals in the big data and social media era. The empirical evidence from Poland pp. 1-13

- Cwynar Andrzej, Cwynar Wiktor, Robert Pater and Kaźmierkiewicz Piotr
- Changing activity in the construction sector in selected states 2003-2012 pp. 14-26

- Wolski Rafał and Załęczna Magdalena
- Polish cooperative banks as net lenders in the money market pp. 27-36

- Golec Maria Magdalena and Płuciennik Piotr
- The attractiveness of FX housing loans for housholds in view of supervisory actions in selected EU countries pp. 37-53

- Świerczyńska Marta and Węglińska Mariola
- Trade credit: a benefit to get, a “must” to give? Motives behind trade credit use in Poland pp. 54-66

- Ciżkowicz-Pękała Magda
- Capitalization and bank performance: Evidence from Nigerian Banking Sector pp. 67-75

- Muritala Taiwo Adewale, Ijaiya Muftau Adeniyi, Adekunle Ahmed Oluwatobi and Abidoye Mobolaji Kafayat
- Impact of foreign ownership on dividend policy in Poland pp. 76-88

- Zyguła Andrzej
- Analysis and profitability assessment of Polish construction companies threatened with bankruptcy pp. 89-96

- Maślanka Tomasz
- Threshold Theory – modelling risk attitude pp. 97-109

- Kasprowicz Tomasz and Bednorz Andrzej
- The influence of the recent financial crisis on the financial situation of Polish listed companies pp. 110-126

- Różański Jerzy and Kopczyński Paweł
- The role of loan and guarantee funds in filling the funding gap for Small and Medium-sized Enterprises pp. 127-135

- Waniak-Michalak Halina
- The impact of trading liquidity on the rate of return on emerging markets: the example of Poland and the Baltic countries pp. 136-148

- Gniadkowska-Szymańska Agata
- Mandatory pension funds in Chile: decline of the arrangement? pp. 149-155

- Ząbkowicz Anna
Volume 13, issue 3, 2017
- Is it Worth Being Good? – The Efficiency and Risk of Socially Responsible Investing in Light of Various Empirical Studies pp. 1-14

- Jedynak Tomasz
- Analysis of the Attractiveness of the Polish Market for Venture Capital Funds pp. 15-23

- Wierzbicka Katarzyna and Gardocka-Jałowiec Anna
- Impact of a Company’s Dividend Policy on the Liquidity of Shares Listed on the Warsaw Stock Exchange pp. 24-32

- Gniadkowska-Szymańska Agata
- Degree of Convergence of the Efficiency of the Polish Equity Investment Funds Obtained with Measures Based on the Sharpe Ratio pp. 33-42

- Sylwester Kozak
- Analyzing the Link Between Agency Problems, Governance and Control Attributes for Pakistan pp. 43-65

- Ghazali Ahmad and Bilal Ahmad Raza
- The Effect of Foreign Equity Ownership on Corporate Social Responsibility: Empirical Evidence from Poland pp. 66-75

- Doś Anna
Volume 13, issue 2, 2017
- Accouting and marketing dimensions of innovations pp. 1-13

- Dyhdalewicz Anna and Widelska Urszula
- Exchange traded commodities as a category of innovative products on European financial markets pp. 14-21

- Marszk Adam
- Evaluation of the factors influencing business bankruptcy risk in Poland pp. 22-35

- Korol Tomasz
- Tax incentives as an instrument attracting investors to Special Economic Zones pp. 36-44

- Jasiniak Magdalena and Koziński Jakub
- Understanding financialization: standing on the shoulders of Minsky pp. 45-61

- Whalen Charles J.
- Household financialization – sense and scale of this phenomenon on the example of poland pp. 62-74

- Kata Ryszard and Chmiel Justyna
- Challenges for central banks in a changing payments landscape pp. 75-86

- Iwańczuk-Kaliska Anna
Volume 13, issue 1, 2017
- Control Premium and Minority Discounts in Polish Business Valuation Practices – Evidence from Research pp. 1-14

- Byrka-Kita Katarzyna and Grudziński Michał
- Monetary Policy in Poland – How the Financial Crisis Changed the Central Bank’s Preferences pp. 15-24

- Joanna Mackiewicz-Łyziak
- The Color of Government Money. Do Investors Differently Value the Investment of Sovereign Wealth Funds? pp. 25-34

- Urban Dariusz
- Public Issue of Bank Bonds Case Study of Bank Pocztowy S.A pp. 35-46

- Gemra Kamil
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