> Issues
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11(2022), 2, Seite 71-97:
Canadian government accounting a systematic review Taslima Nasreen, Ron Baker
2022
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11(2022), 3, Seite 69-84:
Board gender diversity, firm performance and firm risk a literature survey Geeta Singh, Rishi Dwesar
2022
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11(2022), 3, Seite 85-97:
Kazakhstan and its investment development path Adil Zhubikenov
2022
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11(2022), 4, Seite 27-43:
Korean music awards and abnormal stock returns Hafida Nur Chofifah, Ani Wilujeng Suryani
2022
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11(2022), 4, Seite 69-88:
Impacts of FinTech on financial inclusion the case of sub-Saharan Africa Wulli Faustin Djoufouet, Thierry Messie Pondie
2022
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11(2022), 4, Seite 89-105:
Classification of stakeholders activism aiming to influence corporate social responsibility Danuta Dziawgo
2022
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11(2022), 4, Seite 107-123:
Investors' overconfidence in the stock market Rajasekharan Ganesh, S. Thiyagarajan, Gopala Vasudevan, G. Naresh
2022
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11(2022), 4, Seite 125-146:
Impact of COVID-19 on performance on Indian stock indices a study for NSE composite and sectoral indices Nisarg A. Joshi
2022
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11(2022), 4, Seite 147-163:
A theoretical analysis of the new polish income tax system Urszula Król
2022
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11(2022), 4, Seite 165-181:
Max Weber's rationality in accounting research Salah Uddin Rajib
2022
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11(2022), 4, Seite 203-216:
The financial effects of the fiscal sovereignty of municipality regarding real estate tax Agnieszka Żołądkiewicz-Kuzioła
2022
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11(2022), 3, Seite 9-25:
Examining the relation between market value and CO2 emission study of Indian firms Rajesh Desai, Avani Raval
2022
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11(2022), 3, Seite 49-67:
Board meeting and sustainability reporting of banks in Nigeria Nusirat Ojuolape Gold, Hope Osayantin Aifuwa
2022
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11(2022), 1, Seite 29-47:
Fraud risk and audit quality the case of US public firms Hela Frikha Chaari, Amel Belanès, Azhaar Lajmi
2021
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10(2021), 4, Seite 27-43:
Model of psychological micro foundations of CSR in Czech brewery Simona Činčalová, Veronika Toporová
2021
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10(2021), 2, Seite 63-79:
Empirical evidence of the suitability of IFRS for banking sector in sub-Saharan African countries Dawit Tadesse Tiruneh
2021
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10(2021), 3, Seite 9-31:
Optimal incentives for economic growth in Central European countries a micro approach Mustafa Akan, Natalia Konovalova
2021
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10(2021), 1, Seite 9-30:
The determinants of the level of financial literacy in Turkey Hatice Düzakın, Süreyya Yılmaz
2021
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10(2021), 1, Seite 31-51:
India gas exchange today's reality and path ahead C.S. Divyesh Patel, Naresh K. Patel
2021
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10(2021), 1, Seite 67-79:
Stock prices effect of behavioral biases on investor's mindset in Gujarat State, India Krunal Soni, Maulik Desai
2021
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10(2021), 3, Seite 33-49:
Opportunities for increasing the export of Latvia to EU countries Erika Pancenko, Tatyana Ivanova
2021
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10(2021), 4, Seite 159-179:
The impact of taxes on individual long-term savings decision Dominik Tschinkl, Nathalie Weikert, Dirk Kiesewetter
2021
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10(2021), 4, Seite 67-77:
Local currencies supporting the implementation of the concept of sustainable development in Europe Patrycja Konieczna
2021
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9(2020), 4, Seite 101-118:
Relativity of indian stock market with exchange rate, gold and crude oil A.N. Vijayakumar
2020
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9(2020), 4, Seite 77-85:
A simple linear test of the integration in corporate bond markets Ruchira Panda, Dinabandhu Bag
2020
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9(2020), 3, Seite 45-60:
Interest rate predictability in some selected African countries Hans Patrick Bidias-Menik, Simplice Gaël Tonmo
2020
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9(2020), 3, Seite 99-113:
Corporate governance and post-merger performance evidence from US banks Amira Neffati, Wided Khiari, Azhaar Lajmi
2020
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9(2020), 3, Seite 83-98:
Mobile financial services in the context of Banglasdesh Md. Humayun Kabir, S. S. M. Sadrul Huda, Omar Faruq
2020
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9(2020), 3, Seite 9-23:
Sentimetal herding the role of COVID-19 crisis in the Egyptian stock market Mostafa Hussein Abd-Alla
2020
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9(2020), 3, Seite 25-43:
Examining the long memory in stock returns and liquidity in India Anju Bala, Kapil Gupta
2020
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9(2020), 3, Seite 161-176:
Time-series and cross-sectional momentum in Indian stock market Simarjeet Singh, Nidhi Walia
2020
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9(2020), 1, Seite 9-29:
Sustainability reporting and firm performance in developing climes a review of literature Hope Osayantin Aifuwa
2020
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9(2020), 1, Seite 77-100:
Financial innovation, risk management, and bank performance Ghazi Zouari, Imen Abdelmalek
2020
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9(2020), 2, Seite 9-24:
For a new method of calculating the disclosure index Hedi Baazaoui
2020
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9(2020), 4, Seite 87-99:
Market timing abilities of large-cap equity mutual fund managers evidence from india V. Veeravel, S. Mohanasundaram
2020
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8(2019), 3, Seite 7-47:
The transformation of the corporate governance model a literature review ATM Adnan, Nisar Ahmed
2019
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8(2019), 2, Seite 7-23:
An evaluation of the effect of taxation policy on inflation in Nigeria Tajudeen Adejare Adegbite
2019
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8(2019), 2, Seite 67-86:
Investor's stock selection decision influence of profitability, company size, and RAROC Tigor Sitorus, Kendo Yuganda
2019
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8(2019), 1, Seite 27-58:
The tendency of households to invest in an ecological modernization of the utilized heating sources Maciej Chodziński
2019
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8(2019), 4, Seite 91-111:
Optimal control theoretic approach to investment in doctors Mustafa Akan
2019
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8(2019), 4, Seite 185-201:
Determinants of the profitability of commercial banks in Ethiopia Muktar Abdela Shifa, Kenenisa Lemmi Debela, Endalew Gutu Tarfa
2019
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8(2019), 4, Seite 27-46:
Choosing equity as a source of finance perception of SME promoters Ansita Aggarwal, Satya Ranjan Acharya
2019
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8(2019), 4, Seite 133-148:
Capital structure as determinant of financial performance review of literature Jay Desai, Rajesh Desai
2019
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8(2019), 4, Seite 113-132:
Information content of stocks in call auction of shorter duration in emerging market Dinabandhu Bag
2019
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8(2019), 1, Seite 9-25:
The usage of mobile banking applications in Poland empirical results Mikołaj Borowski-Beszta, Anna Kiermas
2019
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8(2019), 1, Seite 125-138:
Traditional fiscal devices in Poland and the concept of their modernization Marta Jakubowska
2019
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7(2018), 4, Seite 59-70:
Cross-selling and up-selling in a bank Julia Kwiatkowska
2018
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7(2018), 2, Seite 99-110:
The initial coin offering challenges and opportunities Anna Wiśniewska
2018
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7(2018), 4, Seite 9-29:
The social background of Brexit Ahmed L.M. Ahmed
2018
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7(2018), 4, Seite 87-97:
Crypto currency a new challenge for the economy of Georgia Eka Lekashvili, Lela Mamaladze
2018
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7(2018), 2, Seite 63-76:
Financing the solor energy market through the use of securitization the case of the United States Maciej Pawłowski
2018
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7(2018), 1, Seite 21-33:
Using accounting information for strategic decision-making in a multi-segmented company Lyudmila Mihaylova, Emil Papazov
2018
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7(2018), 1, Seite 35-50:
CSR in American banking sector Tomasz Murawski
2018
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7(2018), 1, Seite 67-81:
Accelerators for startups in Europe Anna Serwatka
2018
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7(2018), 4, Seite 31-45:
Financial stability of local government units legal and economic approach Małgorzata Cilak
2018
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7(2018), 4, Seite 47-57:
Wealth management market in China opportunities and challenges Tomasz Dziawgo
2018
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7(2018), 3, Seite 55-70:
Propaganda of success in the area of the state's social and economic policy Dariusz Piotrowski
2018
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7(2018), 3, Seite 71-88:
Innovativeness of the Polish economy in the context of sustainable development Wiesława Ziółkowska
2018
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7(2018), 2, Seite 29-41:
The macroeconomic drivers of household debt-to-income ratio an evidence from the OECD countries Piotr Bolibok
2018
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7(2018), 1, Seite 9-19:
Principles of support for the common good services co-financed from public financial means Magdalena Kogut-Jaworska
2018
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7(2018), 1, Seite 51-66:
Individual investors on the financial market in Poland Jarosław Pawłowski
2018
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7(2018), 2, Seite 43-61:
Dividend practices in listed banks of Bangladesh Mohammad Shahidul Islam
2018
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6(2017), 4, Seite 9-21:
The level of shadow economy in Warmi´nsko-Mazurski and Kujawsko-Pomorski regions Andrzej Buszko
2017
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6(2017), 4, Seite 39-68:
Contagion and divergence on sovereign bond markets Piotr Jaworski, Kamil Liberadzki, Marcin Liberadzki
2017
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6(2017), 2, Seite 59-69:
The role of instant payment systems in the Polish economy Dominik Sadłakowski
2017
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6(2017), 1, Seite 67-76:
Legal regulation of tourism business in Georgia Eka Lekashvili, Veko Dodashvili
2017
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6(2017), 3, Seite 21-33:
Locality and the transfer of funds in the cooperative banking sector in Poland Maria Magdalena Golec
2017
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6(2017), 3, Seite 35-46:
Pension valorization method selected issues Anna Kobylińska, Maciej Balcerowski
2017
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6(2017), 3, Seite 63-73:
Financial concequences of cyber attacks leading to data breaches in healthcare sector Marta Meisner
2017
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6(2017), 2, Seite 9-21:
Heavy-tailed distributions and the Canadian stock market returns David Eden, Paul Huffman, John Holman
2017
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6(2017), 1, Seite 9-31:
An analysis of brokerage recommendations for the biggest companies of WIG20 Zbigniew Drewniak
2017
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6(2017), 1, Seite 55-65:
Socially responsible investment in Asia Justyna Kłobukowska
2017
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6(2017), 4, Seite 69-83:
The green bond as a prospective instrument of the global debt market Anna Laskowska
2017
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6(2017), 4, Seite 85-103:
The influence of asset and profitability toward share value mediation effect of liquid asset Tigor Sitorus, Denny
2017
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6(2017), 3, Seite 9-19:
Variability of accounting policies advantages and disadvantages Julija Bojarenko
2017
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6(2017), 3, Seite 75-94:
Low cost retirement solutions based on robo-advisors and exchange traded funds Kamil Nowak
2017
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6(2017), 2, Seite 23-31:
Investment platforms evolutions ETF funds Karol Kraiński
2017
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6(2017), 2, Seite 33-43:
Convergence of health expenditure in EU 12 and V4 states Piotr Kułyk, Łukasz Augustowski
2017
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6(2017), 2, Seite 45-58:
The role of the amount of money in risk-taking Viktor Nagy
2017
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6(2017), 1, Seite 77-87:
Robustness of the bank resolution framework in the European Union Jan Pys
2017
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6(2017), 1, Seite 89-101:
EU Energy Union adjustment to the new development cycle Jurijs Spiridonovs, Olga Bogdanova
2017
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6(2017), 4, Seite 23-37:
The role of cashless transactions in the process of limiting the scale of the shadow economy Marta Jakubowska
2017
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5(2016), 2, Seite 45-56:
The impact of the 2007-2009 financial crisis on risk management in credit institutions Michał Boda
2016
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5(2016), 2, Seite 163-179:
Implementation of alternative index weighting to Warsaw Stock Exchange Kamil Nowak
2016
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5(2016), 2, Seite 181-200:
Disclosing non-financial information in companies' reports in Croatia Milena Peršić, Lahorka Halmi
2016
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5(2016), 2, Seite 219-232:
Responsibility accounting inspiration for segment reporting Tomasz Zimnicki
2016
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5(2016), 1, Seite 9-24:
A dynamic model of a nonlife insurance company Mustafa Akan
2016
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5(2016), 1, Seite 25-37:
An empirical evaluation of selected accounting-based value drivers in the Polish banking sector Piotr Bolibok
2016
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5(2016), 1, Seite 91-105:
Basel III equity requirements and a contemporary rating approach Günter Hofbauer, Monika Klimontowicz, Aleksandra Nocoń
2016
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5(2016), 2, Seite 73-83:
A risk management system in insurance undertaking Paweł Dzięcioł
2016
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5(2016), 2, Seite 109-123:
Business model and its dilemmas of choice Jan Komorowski
2016
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5(2016), 2, Seite 125-147:
Measuring competitiveness of banks in Latvia Deniss Krasovskis, Andrejs Limanskis, Erika Pancenko
2016
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5(2016), 1, Seite 152-172:
Capital flows in European Union on the basis of international investment position selected aspects Iwona Maciejczyk-Bujnowicz
2016
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5(2016), 1, Seite 174-183:
Accountancy-based sources of information for planning purposes in SMEs Emil Papazov, Lyudmila Mihaylova
2016
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5(2016), 1, Seite 185-194:
Sustainability transition needs sustainable finance Bożena Ryszawska
2016
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5(2016), 2, Seite 9-25:
Sustainability, consumption, and technology Mustafa Akan
2016
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5(2016), 2, Seite 57-72:
Managing financial stability by the European Central Bank in the period 2008-2012 Radosław Ciukaj
2016
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5(2016), 2, Seite 149-161:
Corporate social responsibility in Japanese banking sector Tomasz Murawski
2016
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5(2016), 1, Seite 107-123:
Analysis and evaluation of capital adequacy in Latvian banking system Natalia Konovalova, Snezhana Dalecka
2016
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5(2016), 1, Seite 125-139:
Scope and assessment of the insurance for members of voluntary fire brigades provided by local government Angelika Kuligowska
2016
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4(2015), 2, Seite 79-89:
The exploration of disposition effect among business undergraduates in Poland Monika Czerwonka
2015
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4(2015), 2, Seite 211-235:
Evaluation of ATM cash demand process factors applied for forecasting with CI models Gediminas Žylius
2015
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4(2015), 1, Seite 45-54:
Sustainable development in Norway on the example of government pension fund global Julita Fiedorczuk
2015
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4(2015), 1, Seite 83-96:
The fiscal challenges of Polish integration with the euro area Alicja Kasperowicz-Stępień
2015
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4(2015), 2, Seite 145-158:
The importance of prudential regulations in the process of transmitting monetary policy to economy Magdalena Redo
2015
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4(2015), 1, Seite 109-130:
Imbalanced liquidity risk management evidence from Latvian and Lithuanian commercial banks Natalia Konovalova, Julia Zarembo
2015
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4(2015), 1, Seite 147-156:
Credit risk measures a case of renewable energy companies Eduardo Sá e Silva, Adalmiro Andrade Pereira
2015
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4(2015), 1, Seite 9-25:
A solution to eradicate jobless growth meritocracy Abdullah Burhan Bahçe, Öner Gümüş
2015
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4(2015), 2, Seite 91-108:
The impact of long-lived non-financial assets depreciation/amortization method on financial statements Ieva Kozlovska
2015
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4(2015), 2, Seite 129-143:
Lobbying on the IASB Standards an analysis of the Lobbyists’ Behaviour over Period 2006-2014 David Procházka
2015
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4(2015), 2, Seite 177-193:
Human motivation and corporate governance Diana Larisa Tampu
2015
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4(2015), 2, Seite 195-209:
The January seasonality and the performance of country-level value and momentum strategies Adam Zaremba
2015
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4(2015), 1, Seite 97-107:
Comparative analysis of the bail-in tool Jakub Kerlin, Anna Maksymiuk
2015
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3(2014), 2, Seite 9-24:
Greening financial market Leszek Dziawgo
2014
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3(2014), 1, Seite 33-43:
The impact of IFRS on the value relevance of accounting data of banks listed on the Warsaw Stock Exchange Piotr Bolibok
2014
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3(2014), 1, Seite 121-133:
Evolution of ecological financial market from the perspective of institutional economics Michał Moszyński, Marcelina Więckowska
2014
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3(2014), 1, Seite 145-160:
Models of tax incentives for R&D activities of enterprises in European Union countries Joanna Szlęzak-Matusewicz
2014
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3(2014), 2, Seite 37-48:
Stock Exchanges Sustainability Support Assessment Marcin Kalinowski
2014
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3(2014), 1, Seite 161-173:
Public finance crisis and sustainable development financing evidence from EU economies Tomasz Uryszek
2014
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3(2014), 2, Seite 67-78:
Problems of regulations for SME in Poland institutional and cultural context Stanisław Kasiewicz, Lech Kurkliński
2014
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3(2014), 2, Seite 91-109:
Advanced private banking in terms of ecology Kamil Nowak
2014
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3(2014), 2, Seite 111-126:
The financial aspect of intergenerational solidarity from the point of view of the senior Dariusz Piotrowski
2014
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3(2014), 2, Seite 127-136:
Environmental charges levied on power plants Michał Ptak
2014
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3(2014), 2, Seite 167-181:
IPO initial underpricing anomaly the election gimmick hypothesis Adam Zaremba, Radosław Żmudziński
2014
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3(2014), 1, Seite 61-71:
Real options in the assessment of the company’s pro-ecological investments Ewa Dziawgo
2014
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3(2014), 1, Seite 109-119:
The efficiency of public insurance supervision vs. Pareto efficiency Robert Kurek
2014
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3(2014), 2, Seite 25-36:
Market and non-market factors influencing the development of green energy producers Bogna Janik
2014
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3(2014), 1, Seite 19-32:
State aid as a tool encouraging production of energy from renewable sources Bartosz Bartniczak
2014