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Issue Title
 
Vol 55, No 1 (2021) Review of Risks and Risk Management Systems in the Largest Islamic Banks of the Arabian Peninsula Abstract  PDF
Oliwia Khalil-Oliwa
 
Vol 51, No 6 (2017) Risk of Central Banks During Unconventional Monetary Policy Abstract
Irena Pyka, Aleksandra Nocoń
 
Vol 57, No 1 (2023) Pre-Settlement Risk Limits for Non-Financial Counterparty in the Polish Over-the-Counter Derivatives Market Abstract  PDF
Piotr Wybieralski
 
Vol 49, No 4 (2015) Non-Compliance Risk Management in a Bank – Measurement or Monitoring? Abstract
Ewa Łosiewicz-Dniestrzańska
 
Vol 57, No 3 (2023) Foreign Capital in Polish Banks – Its Contribution to Systemic Risk and Level of Concentration Abstract  PDF
Jan Koleśnik
 
Vol 49, No 4 (2015) Risk Reversal as a Flexible Currency Risk Hedging Strategy Used by Non-Financial Companies in the OTC Market Abstract
Piotr Wybieralski
 
Vol 51, No 4 (2017) Evaluation of Investment Expenditure of Voivodeship Self-Governments in the Light of the Risk of Implementation of Tasks Abstract
Beata Filipiak
 
Vol 54, No 2 (2020) Market and Accounting Risk Factors of Asset Pricing in the Classical and Downside Approaches Abstract  PDF
Anna Rutkowska-Ziarko, Lesław Markowski
 
Vol 47, No 3 (2013) Systemic liquidity risk in the Polish banking system – selected aspects Abstract
Błażej Kochański
 
Vol 54, No 2 (2020) Cross-Currency Interest Rate Swap Application in the Long-Term Currency Risk Management Abstract  PDF
Piotr Wybieralski
 
Vol 51, No 6 (2017) Extracting Market Expectations from Currency Options’ Risk Reversals Abstract  PDF
Katarzyna Czech
 
Vol 51, No 6 (2017) Operational Risk Management Systems Assessing Tools in Banks Operating in Poland in the Years 2013–2015 Abstract
Dariusz Garczyński
 
Vol 50, No 4 (2016) Insurance of Export Credits as a Tool Supporting International Trade Abstract
Robert Antoni Dankiewicz
 
Vol 58, No 4 (2024) Occupational Risk Management for a Sustainable Workplace Using Simulation Abstract  PDF
Małgorzata Sławińska, Paweł Pawlewski, Izabela Kudelska, Daniel Kańduła
 
Vol 51, No 5 (2017) The Influence of Organizational Fund Characteristics on Risk Level Abstract
Dariusz Filip
 
Vol 48, No 1 (2014) Gold-mining stocks as an instrument of investing capital Abstract
Katarzyna Mamcarz
 
Vol 51, No 4 (2017) Identification of Problems and Benefits of Internal Audit Implementation in Local Government Entities. Research Results Abstract
Jolanta Ciak
 
Vol 51, No 2 (2017) Comments on the Risks of Supply Chains in Trade with the East Abstract  PDF
Mirosław Antonowicz, Arkadiusz Żurek
 
Vol 50, No 3 (2016) Threats to Retirement System Security Abstract  PDF
Lidia Zofia Jabłońska-Porzuczek
 
Vol 49, No 3 (2015) Effects of Store Brand Perceived Risk on Buyers’ Behavior – Four Decades of Research Overview Abstract  PDF
Przemysław Łukasik, Bruno Schivinski
 
Vol 49, No 1 (2015) Floating rate notes. The structure and functioning of the instrument Abstract
Henryk Mamcarz
 
Vol 49, No 1 (2015) Risk perception as a determinant of consumer behavior in distribution channel Abstract
Marcin Lipowski
 
Vol 47, No 4 (2013) Financial relationships between commercial banks and industrial enterprises: the principles of organizing and risks Abstract  PDF
Volodymyr Chybaj, Oleksandra Tesak
 
Vol 47, No 3 (2013) The contemporary bank versus paradigm of public trust Abstract
Tomasz Zieliński
 
Vol 51, No 5 (2017) Implications of FX Conversion of Swiss Franc Mortgage Loans on the PLN Currency Swap Market Abstract
Piotr Mielus
 
Vol 47, No 3 (2013) Discriminant analysis of the bankruptcy risk Abstract
Grzegorz Mentel
 
Vol 47, No 3 (2013) The role of corporate information policy in the appropriate investor relations Abstract
Gabriela Łukasik
 
Vol 49, No 4 (2015) Efficiency of selected small and medium-sized enterprises’ funds in 2010-2014 Abstract
Agnieszka Moskal, Danuta Zawadzka
 
Vol 47, No 3 (2013) Risk of operating local governments from the perspective of commercial banks Abstract
Paweł Galiński
 
Vol 47, No 3 (2013) The identification of systemically important insurers Abstract
Teresa Hanna Bednarczyk
 
Vol 47, No 3 (2013) Naked short selling as a potential source of systemic risk Abstract
Waldemar Aspadarec
 
Vol 49, No 4 (2015) Role Risk Regulation in the the “Risk-based Regulation” (RbR) Conception Abstract
Stanisław Kasiewicz
 
Vol 50, No 3 (2016) Micro- and Macroprudential Policy – Potential Areas of Conflicts and Methods to Minimize Them Abstract
Mariusz Zygierewicz
 
Vol 49, No 4 (2015) Financialization and Structural Changes in Agricultural Markets During the Early XXIst Century Abstract
Jacek Dariusz Tomaszewski
 
Vol 49, No 4 (2015) Financial Risk of Sukuk Investments Abstract
Dariusz Piotrowski
 
Vol 49, No 4 (2015) The Impact of G-SIIs Establishment on Insurance Sector Functioning – Selected Aspects Abstract
Robert Kurek
 
Vol 47, No 3 (2013) Credit derivatives market in the process of changes Abstract
Irena Pyka, Maria Czech
 
Vol 56, No 5 (2022) Has the Stabilizing Nature of Deposits Changed after the Crisis? Impact of Funding Structure on Bank’s Risk Abstract  PDF
Marta Penczar, Lech Kujawski, Monika Liszewska
 
Vol 56, No 3 (2022) Why Don’t Local Governments Buy Catastrophe Insurance? Biased Decision-Makers Abstract  PDF
Magdalena Anna Swacha-Lech, Mateusz Gawin
 
Vol 56, No 1 (2022) Credit Risk in the Euro Area Compared to Other European Union Countries Abstract  PDF
Radosław Pastusiak, Magdalena Jasiniak, Anna Pluskota
 
Vol 52, No 6 (2018) Model of Institutional Protection Scheme in Polish Cooperatives Banks Abstract  PDF
Paweł Dec, Piotr Masiukiewicz
 
Vol 52, No 6 (2018) Model of Building Stakeholder Engagement in the Functioning of the Organization – Trust and Risk Abstract  PDF
Wioletta Sylwia Wereda
 
Vol 52, No 4 (2018) Risk Measurement of Household Financial Plan Abstract
Radosław Pietrzyk, Paweł Rokita
 
Vol 52, No 3 (2018) Risk Culture in the Polish Banking Sector vs. Global Tendencies Abstract
Stanisław Kasiewicz, Lech Kurkliński
 
Vol 52, No 1 (2018) Risk Management of Processes in the Quality Management System Abstract  PDF
Anna Walaszczyk
 
Vol 51, No 6 (2017) Minimization of Insolvency Risk – Proposal for a Model Solution Abstract
Justyna Franc-Dąbrowska, Małgorzata Porada-Rochoń
 
Vol 51, No 6 (2017) On “the Third Line of Defense”: The Role of Internal Audit in Banks Abstract
Łada Wołoszczenko-Hołda
 
Vol 51, No 6 (2017) Global Banks and Systemic Risk in the European Union: Limiting Tools Abstract
Jan Koleśnik
 
Vol 51, No 5 (2017) Neural Networks vs Discriminant Analysis in the Assessment of Default Abstract  PDF
Aleksandra Wójcicka
 
Vol 51, No 5 (2017) The Relevance of Foreign Ownership and Financial Liberalization for Determining Banking Risk: A Comparative Analysis of European Countries Abstract  PDF
Renata Karkowska
 
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