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How to Measure the Economic Integrity of Ibor Panels? A Behavioural Approach

., Durre A., 2013, Fixing the fixings: What road to a more representative money market benchmark? , IMF Working Paper, no. 13/131, May 29. Duffie D., Stein J., 2015, Reforming LIBOR and other financial market benchmarks , Journal of Economic Perspectives, vol. 29, no. 2, Spring, pp. 191-212. EBA/ESMA, 2013, ESMA-EBA Principles for Benchmark-Setting Processes in the EU , ESMA/2013/659, June 6. EP, 2016, Regulation of the European Parliament and of the Council on Indices Used as Benchmarks in Financial Instruments and Financial Contracts , Brussels, 8

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Diagnosis-Related Group Prospective Payment System in Poland – Costs Versus Tariffs: The Case of Inguinal Hernia

Bibliography Conney R.N., Haluck R.S., Ku J., Bass T., MacLeod J., Brunner H., Miller C.A., 2003, Analysis of cost outliers after gastric bypass surgery: what can we learn? , Obesity Surgery, vol. 13, Issue 1, pp. 29-36 Guterman S., Dobson A., 1986, Impact of the Medicare prospective payment system for hospitals , Health Care Financing Review, vol. 7, no. 3, pp. 97-114. Hafsteinsdottir J.C., Siciliani L., 2010, DRG prospective payment systems: refine or not refine? , Health Economics, vol. 19, Issue 7, pp. 1226-1239. Komunikat z dnia 23

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Causality Analysis Between Stock Market Indices

in Central and East European markets in light of EU accession , Journal of International Financial Markets, Institutions & Money, vol. 21, no. 1, pp. 144-155. Dickey D.A., Fuller W.A., 1979, Distribution of the estimators for autoregressive time-series with a unit root , Journal of the American Statistical Association, vol. 74, no. 366, pp. 427-431. Doman M., Doman R., 2013, The Dynamics and strength of linkages between the stock markets in the Czech Republic, Hungary and Poland after their EU Accession , Dynamic Econometric Models, vol. 13, pp. 5

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Economic Factors in the Process of Calculation of Annuities in Bodily Injury Compensation Claims Under Liability Insurance

Bibliography Butt Z., Haberman S., Verral R., 2008, Calculating compensation for loss of future earnings: Estimating and using work life expectancy, Journal of the Royal Statistical Society, 37. GenRe, 2014, A Comparison of Compensation for Personal Injury Claims in Europe , 2014, http://www.genre.com/knowledge/publications/claimsfocus-pc-201309-en.html . Insurance Europe, 2016, European Motor Insurance Markets , 2016, https://www.insuranceeurope.eu/european-motor-insurance-markets . Jędrzychowska A., 2017, Compensation for those

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Impact of Changes in Composition of Exchange Price Index Shares of Listed Polish Companies

, Summer, pp. 21-42. Sapp T.R., Yan X., 2003, The NASDAQ-AMEX Merger, NASDAQ Reforms, and the Liquidity of Small Firms , Journal of Financial Research, vol. 26, pp. 225-242. Załącznik do Uchwały nr 832/2016 Zarządu Giełdy Papierów Wartościowych w Warszawie S.A. z dnia 11 sierpnia 2016 r., s. 1-13. [www 1] Giełda Papierów Wartościowych w Warszawie, Komunikaty indeksowe, https://www.gpw.pl/komunikaty_indeksowe (dostęp: 20.12.2016).

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Types of Government Deficit in Respect of Fiscal Decision-Making

Macroeconomics, http://users.ox.ac.uk/~exet2581/recursive/lqg_mat.pdf . Fantacone S., Garalova P. G., Milani C., 2015, Structural budget balance and fiscal policy: the limits of the European approach , Yildiz Social Science Review. Ferrante A., Ntogramatzidis L., 2013, The generalised discrete algebraic Riccati equation in linear-quadratic optimal control , Automatica, 49(2), pp. 471-478. Kendrick D., 1982, Stochastic control for economic models , Journal of Economic Dynamic and Control, 1(3), pp. 311-313. Kendrick D., Amman H., 2011, A Taylor Rule

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Performance Changes Around Banks Mergers and Acquisitions: Evidence from Poland

References Altunbas Y., Ibáñez M.D., 2004, Mergers and acquisitions and bank performance in Europe. The role of strategic similarities , ECB Working Paper, vol. 398, pp. 1-35. Badreldin A., Kalhoefer C., 2009, The Effect of Mergers and Acquisitions on Bank Performance in Egypt , Working Paper, vol. 18, pp. 1-15. Balcerowicz E., Bratkowski A., 2001, Restructuring and Development of the Banking Sector in Poland. Lessons to be Learnt by Less Advanced Transition Countries , Case Reports, Centrum Analiz Społeczno-Ekonomicznych, vol. 44, pp. 1

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Risks in the Investment Activity of Polish Regions

Bibliography Aczel A.D., 2006, Statystyka w zarządzaniu , Wydawnictwo Naukowe PWN, Warszawa. Ali G., 2015, Factors affecting public investment in manufacturing sector of Pakistan , European Journal of Economic Studies, vol. 13, Iss. 3, pp. 122-130. Bock K., Trück S., 2011, Assessing uncertainty and risk in public sector investment projects , Technology and Investment, no. 2 pp. 105-123. Czempas J., 2010, Ryzyko w działalności inwestycyjnej gmin. Niezgodność planów z wykonaniem inwestycji w gminach i powiatach województwa śląskiego

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Financial Globalisation and Economic Transformation in Africa: Evidence from Nigeria

Bibliography Adaoglu C., 2000, Instability in the dividend policy of the Istanbul Stock Exchange (ISE) corporations: Evidence from an emerging market , Emerging Markets Review, 1(3), pp. 252-270. Antwi S., Koranteng E.O., 2017, International remittances and economic growth in Ghana: Does the measure of financial development matter ?, International Journal of Technology and Management Research, 2(1), pp. 46-59. Asongu S., 2014, Financial development dynamic thresholds of financial globalization: evidence from Africa , Journal of Economic

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