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 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

- Andrzej Cwynar, Wiktor Cwynar, Robert Pater and Piotr Kaźmierkiewicz
- CHANGING ACTIVITY IN THE CONSTRUCTION SECTOR IN SELECTED STATES 2003-2012 pp. 14-26

- Rafał Wolski and Magdalena Załęczna
- POLISH COOPERATIVE BANKS AS NET LENDERS IN THE MONEY MARKET pp. 27-36

- Maria Magdalena Golec and Piotr Płuciennik
- THE ATTRACTIVENESS OF FX HOUSING LOANS FOR HOUSHOLDS IN VIEW OF SUPERVISORY ACTIONS IN SELECTED EU COUNTRIES pp. 37-53

- Marta Świerczyńska and Mariola Węglińska
- TRADE CREDIT: A BENEFIT TO GET, A “MUST” TO GIVE? MOTIVES BEHIND TRADE CREDIT USE IN POLAND pp. 54-66

- Magda Ciżkowicz-Pękała
- CAPITALIZATION AND BANK PERFORMANCE: EVIDENCE FROM NIGERIAN BANKING SECTOR pp. 67-75

- Taiwo Adewale Muritala, Muftau Adeniyi Ijaiya, Ahmed Oluwatobi Adekunle and Mobolaji Kafayat Abidoye
- IMPACT OF FOREIGN OWNERSHIP ON DIVIDEND POLICY IN POLAND pp. 76-88

- Andrzej Zyguła
- ANALYSIS AND PROFITABILITY ASSESSMENT OF POLISH CONSTRUCTION COMPANIES THREATENED WITH BANKRUPTCY pp. 89-96

- Tomasz Maślanka
- THRESHOLD THEORY – MODELLING RISK ATTITUDE pp. 97-109

- Tomasz Kasprowicz and Andrzej Bednorz
- THE INFLUENCE OF THE RECENT FINANCIAL CRISIS ON THE FINANCIAL SITUATION OF POLISH LISTED COMPANIES pp. 110-126

- Jerzy Różański and Paweł Kopczyński
- THE ROLE OF LOAN AND GUARANTEE FUNDS IN FILLING THE FUNDING GAP FOR SMALL AND MEDIUM-SIZED ENTERPRISES pp. 127-135

- Halina Waniak-Michalak
- THE IMPACT OF TRADING LIQUIDITY ON THE RATE OF RETURN ON EMERGING MARKETS: THE EXAMPLE OF POLAND AND THE BALTIC COUNTRIES pp. 136-148

- Agata Gniazdowska-Szymańska
- MANDATORY PENSION FUNDS IN CHILE: DECLINE OF THE ARRANGEMENT? pp. 149-155

- Anna Ząbkowicz
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

- Tomasz Jedynak
- ANALYSIS OF THE ATTRACTIVENESS OF THE POLISH MARKET FOR VENTURE CAPITAL FUNDS pp. 15-23

- Katarzyna Wierzbicka and Anna Gardocka-Jałowiec
- IMPACT OF A COMPANY’S DIVIDEND POLICY ON THE LIQUIDITY OF SHARES LISTED ON THE WARSAW STOCK EXCHANGE pp. 24-32

- Agata Gniazdowska-Szymańska
- 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

- Ahmad Ghazali and Ahmad Raza Bilal
- THE EFFECT OF FOREIGN EQUITY OWNERSHIP ON CORPORATE SOCIAL RESPONSIBILITY: EMPIRICAL EVIDENCE FROM POLAND pp. 66-75

- Anna Doś
Volume 13, issue 2, 2017
- ACCOUTING AND MARKETING DIMENSIONS OF INNOVATIONS pp. 1-13

- Anna Dyhdalewicz and Urszula Widelska
- EXCHANGE TRADED COMMODITIES AS A CATEGORY OF INNOVATIVE PRODUCTS ON EUROPEAN FINANCIAL pp. 14-21

- Adam Marszk
- EVALUATION OF THE FACTORS INFLUENCING BUSINESS BANKRUPTCY RISK IN POLAND pp. 22-35

- Tomasz Korol
- TAX INCENTIVES AS AN INSTRUMENT ATTRACTING INVESTORS TO SPECIAL ECONOMIC ZONES pp. 36-44

- Magdalena Jasiniak and Jakub Koziński
- UNDERSTANDING FINANCIALIZATION: STANDING ON THE SHOULDERS OF MINSKY pp. 45-61

- Charles J. Whalen
- HOUSEHOLD FINANCIALIZATION – SENSE AND SCALE OF THIS PHENOMENON ON THE EXAMPLE OF POLAND pp. 62-74

- Ryszard Kata and Justyna Chmiel
- CHALLENGES FOR CENTRAL BANKS IN A CHANGING PAYMENTS LANDSCAPE pp. 75-86

- Anna Iwańczuk-Kaliska
Volume 13, issue 1, 2017
- CONTROL PREMIUM AND MINORITY DISCOUNTS IN POLISH BUSINESS VALUATION PRACTICES – EVIDENCE FROM RESEARCH pp. 1-14

- Katarzyna Byrka-Kita and Michał Grudziński
- 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

- Dariusz Urban
- PUBLIC ISSUE OF BANK BONDS CASE STUDY OF BANK POCZTOWY S.A pp. 35-46

- Kamil Gemra
Volume 12, issue 4, 2016
- CAN INCREASING DIVIDENDS BE A SYMPTOM OF THE FINANCIALIZATION OF THE POLISH ECONOMY? pp. 1-19

- Mieczysław Kowerski
- FINANCIALIZATION AND INCOME INEQUALITY IN SELECTED EUROPEAN COUNTRIES, 2004-2013 pp. 20-32

- Grzegorz Gołębiewski, Piotr Szczepankowski and Dorota Wiśniewska
- FINANCIALIZATION AND COMMODITY MARKET STABILITY pp. 33-42

- Jan Żelazny
- THE RELATIONSHIP BETWEEN CONCENT TION OF THE BANKING SECTOR IN POLAND AND ITS SOUNDNESS pp. 43-57

- Karolina Wójcicka
- MEASUREMENT OF INTELLECTUAL CAPITAL AS EXEMPLIFIED BY METHODS OF GROUPS BASED ON THE ROA INDICATOR AND ON MARKET CAPITALIZATION pp. 58-71

- Karolina Palimąka and Mateusz Mierzejewski
- ASSESSING THE FINANCIAL DISTRESS RISK OF COMPANIES OPERATING UNDER CONDITIONS OF A NEGATIVE CASH CONVERSION CYCLE pp. 72-82

- Aleksandra Szpulak
- MAXIMUM DRAWDOWN MEASURES IN HEDGE FUND EFFICIENCY APPRAISAL pp. 83-91

- Izabela Pruchnicka-Grabias
- VALUE ADDED STATEMENT - A RELEVANT INSTRUMENT FOR INTEGRATED REPORTING pp. 92-104

- Anna Bagieńska
- SELECTED EFFECTS OF FINANCING AGRICULTURE FROM A REGIONAL PERSPECTIVE pp. 105-110

- Zofia Kołoszko-Chomentowska and Barbara Wojsznis
- ANALYSIS OF SOME INNER FACTORS AFFECTING THE LENDING RATE AND COMMERCIAL BANK BEHAVIOR pp. 111-119

- Zulfiqar Ali, Zahid Bashir, Muhammad Usman Arshad, Ahmed Ghazali, Muhammad Asif and Fahad Najeeb Khan
Volume 12, issue 3, 2016
- SHOULD THE PARADIGMS OF BANKING THEORY BE REDEFINED BASED ON BANKING PRACTICE? (THOUGHTS ON THE POLARITY OF OPINION CONCERNING THE POLISH BANKING SECTOR) pp. 1-26

- Jan Szambelańczyk
- THE IMPACT OF THE TAX SYSTEM STRUCTURE ON THE NARROWING OF INCOME DISPARITIES IN OECD COUNTRIES pp. 27-37

- Małgorzata Mazurek-Chwiejczak
- CROWDFUNDING AS A MECHANISM FOR FINANCING SMALL AND MEDIUM-SIZED ENTERPRISES pp. 38-48

- Janusz Cichy and Witold Gradoń
- LOG-PERIODIC POWER LAW AND GENE LIZED HURST EXPONENT ANALYSIS IN ESTIMATING AN ASSET BUBBLE BURSTING TIME pp. 49-58

- Marcin Wątorek and Bartosz Stawiarski
- FINANCIAL NETWORKS AS A SOURCE OF SYSTEMIC INSTABILITY pp. 59-68

- Tomasz Zieliński
- SELECTION AND ASSORTMENT OF THE VARIABLES DESCRIBING THE RELATIONSHIP BETWEEN THE ECONOMY AND THE GENE L GOVERNMENT SECTOR SIZE BY APPLICATION OF THE LEM2 ALGORITHM pp. 69-84

- Tomasz Skica, Jacek Rodzinka and Barbara Fryc
Volume 12, issue 2, 2016
- FINANCIALISATION AS A RESULT OF THE NETWORK ECONOMY’S DEVELOPMENT pp. 1-12

- Joanna Cichorska and Monika Klimontowicz
- FINANCIALIZATION OF THE ECONOMY AND THE NEED FOR PERSONAL FINANCE ADVISORY SERVICES pp. 13-23

- Krzysztof Waliszewski
- CROSS-SECTIONAL RETURNS WITH VOLATILITY REGIMES FROM A DIVERSE PORTFOLIO OF EMERGING AND DEVELOPED EQUITY INDICES pp. 24-35

- Robert Ślepaczuk
- FINANCIAL SECTOR TRANSFORMATION AND INCOME INEQUALITY– AN EMPIRICAL ANALYSIS pp. 36-48

- Hanna K. Szymborska
- FINANCIALIZATION AND THE CULTURAL ATTITUDE OF POLISH SOCIETY TOWARDS THE BANKING SECTOR pp. 49-59

- Lech Kurliński
- THE DEVELOPMENT OF PAYMENT SERVICES AS AN EXAMPLE OF DISINTERMEDIATION IN THE FINANCIAL SYSTEM pp. 60-73

- Agnieszka Alińska and Izabela Czepirska
Volume 12, issue 1, 2016
- A PUZZLE OF EXCESSIVE EQUITY RISK PREMIUM AND THE CASE OF POLAND pp. 1-11

- Paweł Kliber
- CURRENCY COMPETITION IN THE EUROZONE: AN ANSWER TO THE CRISIS pp. 12-20

- Krzysztof Spirzewski
- TOWARDS DATA-ORIENTED ANALYSIS OF THE ART MARKET: SURVEY AND OUTLOOK pp. 21-31

- Dominik Filipiak and Agata Filipowska
- THE EFFECTS OF BANKRUPTCY ON THE PREDICTABILITY OF PRICE FORMATION PROCESSES ON WARSAW’S STOCK MARKET pp. 32-42

- Paweł Fiedor and Artur Hołda
- LOW INTEREST TES - DO THEY REVISE HOUSEHOLD SAVING MOTIVES IN THE EURO AREA? pp. 43-56

- Katarzyna Kochaniak
- OWNERSHIP AND CAPITAL STRUCTURE OF PAKISTANI NON-FINANCIAL FIRMS pp. 57-67

- Khan Shoaib and Suzuki Yasushi
- THE DIVIDEND POLICY OF REAL ESTATE DEVELOPMENT COMPANIES LISTED ON THE WSE IN POLAND pp. 67-77

- Magdalena Gostkowska-Drzewicka
- THE NEW INSTITUTIONAL ECONOMICS - MAIN THEORIES pp. 78-85

- Emilia Obińska-Wajda
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