Financial Internet Quarterly
2005 - 2026
From University of Information Technology and Management in Rzeszów Bibliographic data for series maintained by Wiesław Stręciwilk (). Access Statistics for this journal.
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Volume 22, issue 2, 2026
- Examining the impact of exchange rate uncertainty on the Tehran Stock Exchange Index: hybrid approach using wavelet transform and quantile regression model pp. 1-21

- Saeed Kian Poor and Mohsen Hajian
- Associations between financial literacy and financial distress among healthcare professionals: Evidence from oncology hospital nurses pp. 22-34

- Çağrı Hamurcu, Hayriye Dilek Hamurcu and Semra Ercivan
- Assessing the value of intellectual capital for competitive advantage in WIG index companies: A comparative analysis of banking and IT sectors using group methods based on ROA and market capitalization pp. 35-43

- Agnieszka Drzewiej and Nikodem Greń
- Does financial engagement really reduce financial anxiety in old age? Evidence from a developing country pp. 44-58

- Mostafa Saidur Rahim Khan
- Predicting bank continuity using the Kah-Tans model: An applied study of several Iraqi commercial banks for the period (2018-2023) pp. 59-86

- Ali Abdulhassan Abbas and Maysaa Saad Jawad Huby
- Environmental protection public expenditure as a determinant of green total factor productivity: Evidence from the European Union pp. 87-107

- Muhamed Ibrić, Emira Kozarević and Meldina Kokorović Jukan
- Deciphering the cause-effect dynamics of sustainable banking enablers using the DEMATEL approach: A study of South Asian nations pp. 108-126

- Charu Saxena and Reena Agrawal
Volume 22, issue 1, 2026
- Impact of fiscal sustainability on economic growth in Kenya pp. 1-14

- Naftaly Mose and Kamal Deen Moro
- The Polish consumer and BNPL. Profile and motivation pp. 15-34

- Krzysztof Waliszewski and Paweł Niedziółka
- Impact of selected macroeconomic factors on financial markets: a case study of the USA pp. 35-45

- Taras Tymoshchuk and Krzysztof Spirzewski
- Examining the volatility spillover between the fear index and the magnificent seven technology stocks pp. 46-66

- Erol Koycu and Tugba Nur
- Empirical evidence on the roles of financial technology products on the shadow economy: a comparative analysis between advanced, emerging and developing countries pp. 67-87

- Münevvere Yildiz and Kenan İlarslan
- From accruals to real activities: Understanding the trade-off in earnings management choices amid XBRL adoption in Italy pp. 88-105

- László Szívós and Tamás Poszavecz
- Fuzzy representation of a limit order book as a measure of stock liquidity pp. 106-120

- Szymon Stereńczak and Adam Marszałek
Volume 21, issue 4, 2025
- Uncertainty as a determinant of dividend decisions of public companies during the COVID-19 pandemic. The case of companies listed on the Warsaw Stock Exchange pp. 1-15

- Tomasz Sioma and Mieczysław Kowerski
- Construction of a framework for enablers of financial well-being among urban households in India: an ISM approach pp. 16-29

- Reena Agrawal, Smita Wagholikar, Arti Chandani, Prashant Ubarhande and Mohit Pathak
- Assessment of the impact of innovation and investment activities on the restoration of economic potential of ukrainian enterprises in the context of industry 5.0 and the circular economy pp. 30-38

- Marta Kopytko, Halyna Kaplenko, Iryna Ruda, Marianna Bida and Viktoriia Dubyk
- Bridging the information gap: what are the impacts of EPCs on Prague’s residential market selling prices? pp. 39-50

- Tomáš Podškubka, Barbora Rýdlová and Josef Arlt
- Determinants of thermal comfort: analysis of public buildings in a post-transition context pp. 51-67

- Ljiljan Veselinović, Jasmina Mangafić and Lejla Lazović-Pita
- Managing state budget available cash resources: case study of Poland pp. 68-83

- Wojciech Misiąg and Jan Misiąg
- Effects of eurozone and schengen area accession on real estate prices pp. 84-93

- Josip Visković and Danijela Čipčić
- Retirement attitudes in Poland and Southeast Europe pp. 94-107

- Joanna Rutecka-Góra, Sylwia Pieńkowska-Kamieniecka and Damian Walczak
Volume 21, issue 3, 2025
- AIRLINE PERFORMANCE AND THE LEASING RATIO IN THE CONTEXT OF BUSINESS MODELS pp. 1-9

- Viktor Trasberg
- DO MERGERS ENHANCE FINANCIAL PERFORMANCE? EMPIRICAL EVIDENCE FROM THE CZECH REPUBLIC pp. 10-27

- Tomas Podskubka, Lucie Jahodova and Josef Arlt
- FROM OBSTACLES TO NEW OPPORTUNITIES: EXPLORING PROFITABILITY IN THE BANKING INDUSTRY AMID SUSTAINABILITY AND THE GREEN TRANSITION pp. 28-44

- Petra Jilkova, Ladislava Knihova and Natalie Heroldova
- THE GLOBAL SHIFT IN MONETARY SOVEREIGNTY pp. 45-61

- Tushar Goswami, Varda Sardana and Shubham Singhania
- DOES CLIMATE POLICY UNCERTAINTY MOVE WITH STOCK MARKETS? pp. 62-76

- Muge Saglam Bezgin and Selim Gungor
- THE FINANCIAL SITUATION OF PENSIONERS IN POLAND IN THE PERSPECTIVE OF ACHIEVING SUSTAINABLE DEVELOPMENT GOAL NUMBER 1: NO POVERTY pp. 77-87

- Karolina Palimąka and Klaudia Wronka
- RELATIONSHIP BETWEEN SICK LEAVE AND WAGES BY VOIVODESHIP AND INDUSTRY. THE CASE OF POLAND pp. 88-98

- Jacek Rodzinka and Anna Gacek
- EXPLORING THE LINK BETWEEN FINANCIAL GLOBALIZATION, FINANCIAL DEVELOPMENT, HUMAN DEVELOPMENT AND ECONOMIC GROWTH IN CHINA pp. 99-113

- Fergul Ozgun
Volume 21, issue 2, 2025
- SYMBIOTIC HARMONY: EXPLORING THE INTERPLAY BETWEEN INVESTMENT STRATEGIES AND INSURANCE IN THE CZECH REPUBLIC pp. 1-18

- Jan Neugebauer and Marek Vokoun
- GENDER AND SPOKEN LANGUAGE USE IN CONSUMER FINANCE pp. 19-32

- Andrzej Cwynar, Robert Porzak, Paweł Nowak and Magdalena Cwynar
- ADAPTIVE MARKET HYPOTHESIS: INSIGHTS FROM BRIC-T COUNTRIES\' STOCK MARKETS pp. 33-63

- Sureyya Yilmaz Ozekenci
- PAKISTAN AND MALAYSIA BILATERAL TRADE AGREEMENT (BTA): A CASE OF THE PAKISTAN STOCK EXCHANGE (PSX) REACTION pp. 64-73

- Mazhar Hussain Choudhary
- IDENTIFICATION OF KEY ENABLERS AND ASSESSMENT OF THE INTER-RELATIONSHIPS OF HOUSEHOLD FINANCIAL RESILIENCE IN SOUTHWEST ASIAN NATIONS pp. 74-88;

- Reena Agrawal, Charu Saxena and Pratibha Thakur
- EVALUATING ESG PRACTICES AND FINANCIAL IMPACTS: A COMPREHENSIVE ANALYSIS OF LEADING EUROPEAN ENTERPRISES UNDER CSR EUROPE\'S FRAMEWORK pp. 89-104

- Gabriela Dubcová, Emil Velinov and Martina Kosikova
- JOINT IMPACT OF STOCK MARKET DEVELOPMENT AND ENERGY CONSUMPTION ON CARBON DIOXIDE EMISSIONS IN NIGERIA: 1990 TO 2021 pp. 105-119

- Kamaladeen Ibraheem Nageri, Abdulwaheed Adeola Olukotun, Saheed Oluwaseun Lawal and Rahji Ohize Ibrahim
Volume 21, issue 1, 2025
- MODELING THE RELATIONSHIPS AMONG THE STOCK MARKET, GOLD PRICE, OIL PRICE AND EXCHANGE RATE: A VECM AND VDA APPROACH pp. 1-14

- Pravin Kumar Agrawal and Mohit Kumar
- AN ARTIFICIAL INTELLIGENCE-BASED FORECASTING OF THE DYNAMICS OF RELATIVE PROFIT RATES AT A FINANCIAL CRISIS JUNCTURE: A MODEL, A CASE STUDY AND CRISIS MANAGEMENT POLICIES pp. 15-26

- Ahmet Kara
- UNVEILING GROWTH DIVERGENCE ON LSE: FTSE100 VS. AIM LISTED COMPANIES pp. 27-41

- Monika Bolek, Agata Giandkowska-Szymańska and Piotr Pietraszewski
- SECTOR-SPECIFIC FINANCIAL FORECASTING WITH MACHINE LEARNING ALGORITHM AND SHAP INTERACTION VALUES pp. 42-66

- Cansu Ergenç and Rafet Aktaş
- DIGITAL GOVERNANCE ACROSS WHOLE-OF-THE-GOVERNMENT: OPPORTUNITIES AND CHALLENGES pp. 67-75

- Smita Pande, Arti Chandani and Smita Wagholikar
- THE MODERATING IMPACT OF CONCENTRATED OWNERSHIP ON RELATED PARTY TRANSACTIONS AND FIRM PERFORMANCE IN THE MALAYSIAN CONTEXT pp. 76-93

- Abdulsalam Saad Alquhaif
- THE INTERPLAY OF INCOME GROWTH AND HOUSING PRICES: A DECADE OF REAL ESTATE DYNAMICS IN POLAND’S LARGEST CITIES pp. 94-104

- Michał Ryś and Maciej Ryś
Volume 20, issue 4, 2024
- VIRAL TRENDS AND STOCK MARKETS pp. 1-15

- Tajana Barbić and Iva Ćondić-Jurkić
- BRIDGING PROSPERITY pp. 16-31

- Arjun Kumar Dahal, Ganesh Bhattarai, Prem Bahadur Budhathoki and Gyan Mani Adhikari
- DISCOVERING SOURCES AND APPROACHES IN FINANCING HACKATHONS pp. 48-55

- Maciej Ryś
- DOES THE DEFINITION OF THE COST OF CONSUMER CREDIT ACCORDING TO THE REGULATIONS SUPPORT CREDIT DECISIONS? pp. 56-71

- Wiktor Cwynar
- THE IMPACT OF THE EU’S GENERALIZED SYSTEM OF PREFERENCES PLUS STATUS ON COMPANIES AND FISCAL POLICY OF PAKISTAN pp. 72-84

- Mazhar Hussain Choudhary
- THE INTRODUCTION OF THE EURO AND ITS IMPACT ON FIRM PERFORMANCE – THE EVIDENCE OF CROATIA pp. 85-95

- Tomislava Pavić Kramarić and Marko Miletić
- EFFECTIVE STRATEGY FOR IMPLEMENTING STATE FINANCIAL ASSISTANCE IN THE USE OF ALTERNATIVE ENERGY TECHNOLOGIES FOR CRITICAL INFRASTRUCTURE ENTERPRISES UNDER ELEVATED NATIONAL SECURITY THREATS pp. 96-108

- Marta Kopytko, Iryna Ruda, Mariana Yatsyk and Olha Viunyk
- CBDC and trust in A central bank: transitivity of preferences vs. the privacy paradox

- Viktor Koziuk, Yurii Ivashuk, Yurii Hayda and Oleksandr Dluhopolskyi
Volume 20, issue 3, 2024
- A study to explore the motives of investors to invest in derivative markets pp. 1-12

- Manisha Sanghvi, Pankaj Sharma and Arti Chandani
- Society’s well-being and firm profitability pp. 13-28

- Piotr Ratajczak, Jarosław Nowicki and Dawid Szutowski
- Public and private investments and economic growth in Ghana and Kenya pp. 29-41

- Naftaly Mose and Michael Provide Fumey
- Dynamic Interrelationships among Bitcoin, Bonds, and Sectoral Indices in India pp. 42-57

- Shivam Sehgal and Jaspal Singh
- Determinants of local government debt in the Federation of Bosnia and Herzegovina pp. 58-69

- Amina Moćević and Lejla Lazović-Pita
- Comparison between internal and electronic clearing systems for checks pp. 70-90

- Maysaa saad Jawad Huby, Lamyaa Ali Ibrahim and Ali Abdulhassan Abbas
- The contribution of analytical procedures in supporting corporate governance pp. 91-102

- Didaoui Mohamed Farouk and Boughazi Ismail
- Cigarette taxation and consumption in The Czech Republic. Have these factors influenced tax revenue? pp. 103-113

- Michal Krajńak
Volume 20, issue 2, 2024
- MODELING FINANCIAL RISK ATTITUDE pp. 1-14

- Maria Iannario, Anna Clara Monti and Domenico Scalara
- USING ADAPTIVE POTENTIAL TO COUNTERACT CRISIS SITUATIONS IN THE CONTEXT OF ENSURING FINANCIAL SECURITY AND BUSINESS SUSTAINABILITY OF ENTERPRISES pp. 15-25

- Stasyshyn Andrii, Iryna Ruda, Dmytro Tkachuk and Volodymyr Galika
- ENABLERS FOR USAGE OF THE MOBILE WALLET BY MSMES IN RURAL INDIA pp. 26-41

- Reena Agrawal and Maneesh Yadav
- IMPACT OF INSTITUTIONS ON FINANCIAL INCLUSION IN AFRICA pp. 42-61

- Antoni Ludwik Łaszewski
- MODELLING FINANCIAL VARIABLES USING NEURAL NETWORKING TO ACCESS CREDITWORTHINESS pp. 62-76

- Prashant Ubarhande, Arti Chandani, Mohit Pathak, Reena Agrawal and Sonali Bagade
- THE CHANGE OF THE MONETARY PARADIGM: FINANCIAL SECURITY AND CRYPTOCURRENCY pp. 77-88

- Pavel Morda, Martin Zeman and Josef Klement
- THE CHANGE OF THE MONETARY PARADIGM pp. 89-101

- Iryna Mihus, Marchenko Volodymyr, Alla Dombrovska and Oksana Panchenko
Volume 20, issue 1, 2024
- ANALYSIS OF THE PAYMENT DISCIPLINE OF TRADE-LICENCE HOLDERS REGARDING SOCIAL INSURANCE CONTRIBUTIONS IN THE SLOVAK REPUBLIC pp. 1-13

- Tatiana Hajdukova and Edita Lukaćikova
- COMPLEX PENSION PRODUCTS pp. 14-28

- Joanna Rutecka-Góra, Sylwia Pieńkowska-Kamienicka and John A. Turner
- A METHODOLOGICAL APPROACH TO OPTIMIZING FINANCIAL RESOURCES TO INCREASE THE LEVEL OF ECONOMIC SECURITY IN A DYNAMIC EXTERNAL ENVIRONMENT pp. 29-38

- Marta Kopytko, Oleksandr Sylkin and Iryna Ruda
- HOW THE COVID-19 SHOCK INFLUENCED COMPANIES LISTED ON THE WSE AND HOW THEY MANAGED THEIR LIQUIDITY pp. 39-50

- Agnieszka Czajkowska, Monika Bolek and Anna Pluskota
- THE INTERRELATIONSHIP OF WORKING CAPITAL pp. 51-63

- Maria Rio Rita, Supramono, Theresia Woro Damayanti and Pambayun Kinashin Yekti Nastiti
- THE IMPACT OF THE ENTERPRISE FINANCIAL RISK MANAGEMENT FUNCTION ON FINANCIAL PERFORMANCE IN BOSNIA AND HERZEGOVINA pp. 64-80

- Adem Abdić, Adnan Rovćanin and Ademir Abdić
- THE IMPACT OF WEBSITE PERFORMANCE ON BUSINESS SALES pp. 81-90

- Tereza Ikasowa and Martin Klepek
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