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Safety Management Improvement Possibilities in Smes

References Abrahamsen, E. B., Aven, T., and Roed, W., 2009. Communication of cost-effectiveness of safety measures by use of a new visualizing tool. Reliability & Risk Analysis: Theory & Applications, 2(December), 38-46. AbsConsulting, 2005. Root Cause Analysis Handbook: A Guide to Effective Incident Investigation. Brookfield, CT: Rothstein Associates Inc. Angew, J. L., and Snyder, G., 2002. Removing obstacles to safety: Performance management Publications. Ballou, R. H., 1992. Business Logistics

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Measuring Systemic Risk in the Polish Banking System by Means of the Risk-Based Balance Sheets Method

.). Santiago, Chile: Central Bank of Chile Book. Gątarek, D., Maksymiuk, M., Krysiak, R. & Witkowski, Ł. (2001). Modern method of financial risk management . Warsaw: WIG-Press. Gray, D.F. & Malone, S. (2011). Macrofinancial Risk Analysis . Publisher John Wiley & Sons, ISBN: 978-0-470-05831-2. Gray, D.F. & Jobst, A.A. (2009). Higher Moments and Multivariate Dependence of Implied Volatilities from Equity Options as Measures of Systemic Risk . Global Financial Stability Report, Chapter 3, April (Washington: International

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ICT evaluation models and performance of medium and small enterprises

References Balbas, A., (2007). Mathematical Methods in Modern Risk Measurement: A Survey. Applied Mathematics, 101(2), 205-219. Basel (2004). Basel Committee on Banking Supervision. New Basel Capital Accord Operational Risk. Burget, C., Ruschendorf, L.(2006). Consistent risk measures for portfolio vectors. Insurance: Mathematics and Economics, 38, 289-297. Calder, A.(2006). Information security based on ISO 27001. Amersfoort - NL: Van Haren. CAS (2003). Casualty Actuarial Society

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Supporting Social Enterprises in the Context of Financial Effectiveness

Pryce, J.J., 2010. The Life Cycle of Social Enterprise Financing , in: Succeeding at Social Enterprise. Hard-Won Lessons for Nonprofits and Social Entrepreneurs, San Francisco: Jossey-Bass. Jantti, M. and Danziger, S., 2000. Income poverty in advanced economies , in Atkinson A.B., Bourguignon F.(eds), Handbook on Income Distribution, Amsterdam: Elsever Science. Kendall, J. and Knapp, M., 2000. Measuring performance of voluntary organizations. Public Management , Routledge, 2(1). Lynch, K. and Walls, J. Jr., 2009

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The Measurement of Impacts and Effects of Knowledge Management in an Enterprise

References Drucker, P. (2000). Management Challenges for the 21. Century . Praha: Management Press. Hvizdová, E. (2011). Management of Human Resources in knowledge economics . Bratislava: Publisher EKONÓM. Horváthová, P. (2011). Talent management . Praha: Wolters Kluwer Czech Republic. Hvizdová, E. & Miklošík, A. (2012). Knowledge Management: Personal and technological perspectives . Bratislava: Publisher EKONÓM. Kaplan, R.S. & Norton, D.P. (1996). Using the Balanced

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Intervalling Effect On Estimating The Beta Parameter For The Largest Companies On The WSE

– Trading Effects in Beta: Bias v. Estimation Error. Journal of Business Finance and Accounting , 35, 9/10. Sharpe, W.F. (1963). A Simplified Model of Portfolio Analysis. Management Science , 9, 2. Sharpe, W.F. (1964). Capital asset prices: A theory of market equilibrium under condition of risk. Journal of Finance , 19. Smith, K. (1978). The Effect of Intervaling on estimating Parameters of the Capital Asset pricing Model. Journal of Financial and Quantitative Analysis , 23.

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Financial Performance in the Light of Corporate Governance in Polish Family Businesses

References Anderson, R.C., Reeb, D.M. (2007). Founding family ownership and firm performance: evidence from the S&P 500. Journal of Finance , 58 , 1301–1328. Ang, J.S., Cole, R.A., Lin, J.W. (2000). Agency costs and ownership structure, Journal of Finance , 55 , 81–106. Bartoni, R., Caprio, L. (2006). The effect of family control on firm value and performance: evidence from continental Europe. European Financial Management , 12 , 689–723. Blanco-Mazagatos, V., Quevedo-Puente, E., Castrillo, L.A. (2007). The trade-off between

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Selected Measures of Welfare in the Contemporary World Economy and the Implementation of the Sustainable Development Strategy in the European Union

Selected Measures of Welfare in the Contemporary World Economy and the Implementation of the Sustainable Development Strategy in the European Union

The principle for an effective management of the national economy is to create long-term development strategy. Taking determined decisions increase the chance of future growth. A necessary condition for an effective change, however, is basing them on sound and well-chosen premises. It is also essential, to continuously monitor progress and adjust actions if necessary. For this purpose, appropriate measures are required. The progressive process of environmental degradation, marginalization of national and ethnic groups, as well as the prospect of running out of energy resources, attracted greater attention to sustainable development. Among the main objectives of the sustainable development strategy in the EU, beside economic welfare, isthe protection of the environment, as well as equity and social cohesion. These objectives are convergent with emerging measures of welfare, which in contrast to GDP also include other elements that determine the real welfare of people affected.

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Beta Stability Over Bull and Bear Market on the Warsaw Stock Exchange

. (2011). Are Equity Betas Stable? Evidence from Indian Equity Market. The IUP Journal of Applied Finance , 17 (4), 5–25. Dębski, W., Feder-Sempach, E. (2012). Beta Coefficients of Polish Blue Chip Companies in the Period of 2005–2011. Folia OeconomicaStetinesia , 2 , 90–102. Dębski, W., Feder-Sempach, E., Świderski, B. (2013). Stabilność parametru beta w okresie rynku byka i niedźwiedzia dla największych spółek warszawskiej GPW. Journal of Management and Finance , 11 (2), 89–102. Eubank, A.A., Zumwalt, J.K. (1979). An Analysis of the Forecast

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The Effect of Credit Risk and Capital Adequacy on the Profitability of Rural Banks in the Philippines

Philippine Financial System. http://www.bsp.gov.ph/downloads/publications/2013/statrep_2sem2013b.pdf. Bangko Sentral ng Pilipinas, 2014. Circular No. 855. Guidelines on Sound Credit Risk Management Practices. http://www.bsp.gov.ph/downloads/regulations/attachments/2014/c855.pdf. Barth, J. R., Caprio Jr., G., and Levine, R., 2013. Bank Regulation and Supervision in 180 Countries from 1999 to 2011. Journal of Financial Economic Policy, 5(2), 111-219. doi: http://dx.doi.org/10.1108/17576381311329661 Basel Committee on Banking

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