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 19, issue 4, 2023
- DIFFERENCES IN BUSINESS FRAUD BETWEEN STATE-OWNED AND PRIVATE COMPANIES: CASE OF CROATIA pp. 1-8

- Marijana Bartulović, Dijana Perkušić and Ivan Kovačević
- DOMESTIC CAPITAL VS. FOREIGN CAPITAL NEW ENTERPRISE CREATION: THE CASE OF FDI IN INDIA pp. 9-24

- Tulasidharan Sajikumar and Amândio F. C. Da Silva
- HOW COVID-19 AFFECTED CORPORATE DIVIDEND DECISIONS: NOVEL EVIDENCE FROM EMERGING COUNTRIES pp. 25-48

- Abdullah Mohammed Alghazali and Ilker Yilmaz
- COLOUR SYMBOLISM IN FINANCE pp. 49-62

- Błażej Prusak and Muhammad Mushafiq
- ASSESSMENT OF PUBLIC EDUCATION EXPENDITURE EFFICIENCY ACROSS LITHUANIAN MUNICIPALITIES pp. 63-79

- Renata Legenzova, Asta Gaigalienė, Dalia Rudytė, Solveiga Skunčikienė and Vilma Kazlauskienė
- THE DETERMINANTS OF GREEN FINANCE AND EFFECT ON THE BANKING SECTOR pp. 80-96

- yusuf Gör and Bilgehan Tekin
- ESG VOLATILITY PREDICTION USING GARCH AND LSTM MODELS pp. 97-114

- Akshay Kumar Mishra, Rahul Kumar and Debi Prasad Bal
- THE DYNAMIC RELATIONSHIP BETWEEN BTC WITH BIST AND NASDAQ INDICES pp. 115-128

- Cagri Ulu
Volume 19, issue 3, 2023
- Top Management Team Diversity Impact on Financial Performance: Evidence from VW Group affiliated firms pp. 1-15

- Emil Velinov
- THE ROLE OF IMPARTIAL ADMINISTRATION IN FINANCIAL SECTOR PERFORMANCE: A COMPARATIVE STUDY OF LATIN AMERICA AND SUB-SAHARAN AFRICAN COUNTRIES pp. 16-30

- Sadik Aden Dirir
- RISK ASSESSMENT AS A STAGE OF RISK MANAGEMENT IN ENTERPRISES IN TOURISM SECTOR pp. 31-47

- Plamena Nedyalkova
- ENTROPY-BASED WASPAS APPROACH FOR FINANCIAL PERFORMANCE IN THE COVID-19 ERA: EVIDENCE FROM ISLAMIC COUNTRIES pp. 48-61

- Hilal H. Erdogan
- AN ASSESSMENT OF THE RISK MITIGATING FACTORS IN GHANA’S BANK INDUSTRY pp. 62-74

- Samuel Erasmus Alnaa and Juabin Matey
- GAMES IN A FOREIGN EXCHANGE MARKET AND SOLUTIONS pp. 75-86

- Reza Habibi
- POLISH HOUSEHOLD DEFAULT RISK AND PHYSICAL RISK OF CLIMATE CHANGE pp. 87-99

- Łukasz Kurowski and Katarzyna Sokal
- A 10-YEAR ANALYSIS OF HOUSING PRICES AND THE INFLUENCE OF ECONOMIC FACTORS IN TURKEY pp. 100-112

- Muhammed Muddasir and Umut Dondaş
Volume 19, issue 2, 2023
- THE IMPACT OF IFRS ADOPTION ON ECONOMIC GROWTH IN TRANSITION COUNTRIES: EVIDENCE FROM CIS pp. 1-17

- Mokhirakhon Abdullaeva, A. K. M. Kamrul Hasan, Feruza Yodgorova, Indira Khajieva and Gulhayo Nusratova
- IMPACT OF THE UNCONDITIONAL BASIC INCOME ON THE PROFESSIONAL SITUATION OF WOMEN pp. 18-25

- Milena Kowalska
- ENVIRONMENTAL, SOCIAL, AND GOVERNANCE (ESG) SCORES AND EARNINGS MANAGEMENT IN TELECOMMUNICATION COMPANIES: AN INTERNATIONAL PERSPECTIVE pp. 26-35

- Goksel Acar and Ali Coscun
- BANK FAILURE RISK: A STUDY ON SILICON VALLEY BANK, SIGNATURE BANK & SILVERGATE CAPITAL CORPORATION pp. 36-45

- Çağri Hamurcu
- SOURCES OF UNCERTAINTY AND THEIR IMPACT ON STOCK PRICES EVIDENCE FROM EMERGING ECONOMIES pp. 46-64

- Noman Nazir, Zahid Bashir, Seyd Usman Izhar and Yasir Jamshed
- 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

- Lin Qiu-Bin, Esra Sipahi Döngül and Shajara Ul-Durar
- 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

- Jolanta Pasionek
- FOREX MARKET AS THE BEST POSSIBLE WAY OF INVESTING MONEY DURING ECONOMY BOOM AND RECESSION pp. 8-20

- Wojciech Zembura
- THE CONCEPT OF ASSOCIATED PERSONS AS A KEY AND POTENTIALLY PROBLEMATIC ASPECT IN TRANSFER PRICING pp. 21-33

- Karel Brychta, Matheus Chebli de Abreu, Justina Hudenko, Lucas Scheremetta Santos and Lucas Cunha Do Valle Poubel
- EVOLUTION OF LOYALTY PROGRAMS OFFERED TO CUSTOMERS AND INVESTOR pp. 34-47

- Danuta Dziawgo
- SYMMETRIC AND ASYMMETRIC VOLATILITY: FORECASTING THE BORSA ISTANBUL 100 INDEX RETURN VOLATILITY pp. 48-56

- Selma Öner and Hakan Öner
- CRYPTOCURRENCY AS A METHOD OF PAYMENT IN THE TOURISM SECTOR pp. 57-65

- Azamat Aiazbekov
- RELATIONSHIP BETWEEN THE GREEN FINANCE INDEX, CO2 EMISSION, AND GDP pp. 66-77

- Çağri Hamurcu
Volume 18, issue 4, 2022
- ON SEPARATION OF MONETARY AND FISCAL OPERATIONS IN MACROECONOMIC STATISTICS pp. 1-11

- Václav Rybáček and Julius Janáček
- RELATIONSHIP BETWEEN GOVERNMENT EXPENDITURE AND ECONOMIC GROWTH IN VISEGRAD GROUP pp. 12-22

- Irena Szarowska
- CHALLENGES IN TRANSFER PRICING: A CONCEPT OF SAFE HARBOURS FOR FINANCIAL TRANSACTIONS pp. 23-34

- Michal Ištok, Veronika Solilová and Karel Brychta
- EFFECTS OF COVID-19 ON PAYMENT METHOD PREFERENCES OF POLES pp. 35-49

- Jakub Kubiczek
- ENVIRONMENTAL ASPECTS OF INVESTING IN THE POLISH STOCK EXCHANGE MARKET ACCORDING TO INDIVIDUAL INVESTORS pp. 50-60

- Leszek Dziawgo
- FISCAL POLICY BEFORE AND DURING COVID-19 AND ITS IMPACT ON THE CREATION OF NEW COMPANIES pp. 61-76

- Anetta Sokołowska and Viktor Trasberg
- THE MILLER–MODIGLIANI DIVIDEND IRRELEVANCE THEORY AS A WARNING FOR INVESTORS LOOKING FOR QUICK PROFITS FROM INVESTMENTS IN COMPANIES PAYING DIVIDENDS pp. 77-88

- Mieczysław Kowerski and Laura Haniewska
- THE RISK IDENTIFICATION AND ASSESSMENT ON THE EXAMPLE OF COMPANIES FROM THE AUTOMOTIVE INDUSTRY IN POLAND pp. 89-99

- Joanna Podgórska, Katarzyna Mormul and Janusz Maksymowicz
Volume 18, issue 3, 2022
- THE EFFECTS OF GLOBAL RISK INDICATORS ON THE MSCI EMERGING MARKETS INDEX pp. 1-10

- Selma Öner
- DETERMINANTS OF OPERATIONAL EFFICIENCY: THE CASE OF SAUDI BANKS pp. 11-20

- Shoaib Khan
- WORKING CAPITAL MANAGEMENT EFFICIENCY: A STUDY OF CERTIFIED FIRMS FROM THE EFQM EXCELLENCE MODEL pp. 21-34

- Muhammad Yousaf
- WHAT ARE THE INTERNAL DETERMINANTS OF RETURN ON ASSETS AND EQUITY OF THE ENERGY SECTOR IN TURKEY? pp. 35-50

- Bilgehan Tekin
- NO POVERTY- SUSTAINABLE DEVELOPMENT GOALS IN THE LIGHT OF POLISH STATISTICS AND SOCIAL POLICY ACTIVITIES pp. 51-67

- Karolina Palimąka and Gabriela Karaś
- NET OPERATING LOSS POLICIES IN POLAND – A TOOL FOR TAX NEUTRALITY AND A FIRM’S ANTIFRAGILITY pp. 68-79

- Christophe Cathala
- THE IMPACT OF THE COVID-19 PANDEMIC ON THE PERSONAL FINANCE - A COMPARATIVE ANALYSIS OF POLES AND SLOVAKS pp. 80-87

- Krzysztof Waliszewski
- ECONOMIC AND FINANCIAL CONSEQUENCES OF WAR IN UKRAINE: ANALYSIS OF DEVELOPMENT SCENARIOS pp. 88-101

- Marianna Bida and Iryna Ruda
Volume 18, issue 2, 2022
- ARE BANKRUPTCY MODELS ADEQUATE FOR CONDITION ASSESSMENT OF COMPANIES LISTED ON WARSAW STOCK EXCHANGE pp. 1-12

- Monika Bolek and Agata Gniazdowska-Szymańska
- MUTUAL FUNDS’ COST PERSISTENCE pp. 13-20

- Artur A. Trzebiński
- THE RELATIONSHIP BETWEEN CFO QUALIFICATIONS AND INTERNAL CONTROL WEAKNESS pp. 21-29

- Yaying C. Yeh, Chiulien C. Venezia and Tzu-Ya Yang
- HOUSEHOLD FUEL CHOICE IN URBAN KENYA: A MULTINOMIAL LOGIT ANALYSIS pp. 30-41

- David Waweru and Naftaly Mose
- FINANCIAL LITERACY AND NEW BUSINESS ENTRY pp. 42-66

- Tomasz Skica, Juraj Mikuš and Marian Holienka
- THE ROLE OF CUSTOMS PROCEDURES IN REDUCTION OF MAINTENANCE, REPAIR AND OVERHAUL COSTS IN THE AVIATION INDUSTRY pp. 67-82

- Natalia Płaza and Deimantė Žilinskienė
- ESTONIA AND KAZAKHSTAN. FINANCIAL AND ECONOMIC FATE OF ECONOMIES AFTER THE COLLAPSE OF THE USSR pp. 83-97

- Nazym Yembergenkyzy and Beata Fałda
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

- Zahid Bashir, Zulqurnain Zeeshan Rafique and Kashif Naseer Toor
- COMPARATIVE ANALYSIS OF THE CONTRIBUTION TO THE UNITED NATIONS SUSTAINABLE DEVELOPMENT GOALS THROUGH NON-FINANCIAL INFORMATION DISCLOSED BY IBEX 35 COMPANIES pp. 16-30

- Esperanza Calvo-Centeno, Enrique Gragera-Pizzarro, Eva Romero-Ramos and Eva Popero-Moriones
- CASHLESS PAYMENT SYSTEM AND COVID-19 ON THE EXAMPLE OF THE CZECH REPUBLIC pp. 31-43

- Otakar Scholossberger and Marcela Soldánová
- THE ROLE OF SOFT SKILLS IN EMPLOYABILITY IN THE FINANCIAL INDUSTRY pp. 44-55

- Lorenzo Costantino and Jacek Rodzinka
- THE IMPACT OF CAPITAL STRUCTURE ON BANK PERFORMANCE IN EMERGING MARKETS; EMPIRICAL EVIDENCE FROM GCC COUNTRIES pp. 56-65

- Shoaib Khan
- CAN WE PREDICT HIGH GROWTH FIRMS WITH THE FINANCIAL RATIOS? pp. 66-73

- Stjepan Srhoj
- THE IMPACT OF IFRS ADOPTION ON FOREIGN DIRECT INVESTMENT IN CIS pp. 74-90

- Sherkulov Sanjar, A. K. M. Kamrul Hasan, Gulhayo Nusratova and Feruza Yodgorovas
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