Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu nr. 519. The issuer and investor credit ratings – the impact on the stock prices

Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu nr. 519. The issuer and investor credit ratings – the impact on the stock prices

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One of the fastest growing areas in the economic sciences is the broadly defined area of finance, with particular emphasis on the financial markets, financial institutions and risk management. Real world challenges stimulate the development of new theories and methods. A large part of the theoretical research concerns the analysis of the risk of not only economic entities, but also households. The third Wrocław Conference in Finance WROFIN was held in Wrocław between the 13th and 14th of September 2017. The participants of the conference were the leading representatives of the academia, as well as the practitioners in the area of financial markets, corporate finance, public finance, banking and insurance. The conference is a continuation of the two long-standing conferences: INVEST (Financial Investments and Insurance) and ZAFIN (Financial Management – Theory and Practice).


Rok wydania2018
Liczba stron198
KategoriaPublikacje darmowe
WydawcaWydawnictwo Uniwersytetu Ekonomicznego we Wrocławiu
Numer wydania1
Język publikacjipolski
Informacja o sprzedawcyePWN sp. z o.o.

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  Introduction     7
  Martin Boďa, Zuzana Piklová: On the comparability of the production and intermediation approach in banking efficiency studies     9
  Patrycja Chodnicka-Jaworska: Competitiveness and concentration of the banking sector as a measure of banks’ credit ratings     26
  Patrycja Chodnicka-Jaworska: The issuer and investor credit ratings – the impact on the stock prices     40
  Ewa Dziwok: Methods of measuring operational risk and their influence on the level of bank’s capital adequacy     53
  Alicja Fraś: Investment funds – returns, risk and fees dependencies in Poland and UK in 2015     63
  Agata Gluzicka: International diversification in the periods of major economic changes     77
  Wojciech Grabowski: Comovements of stock markets in Visegrad countries in years 2004-2017     88
  Magdalena Homa: Risk capital in unit-linked insurance policies     99
  Janina Jędrzejczak-Gas: The integrated approach involving the AHP and TOPSIS methods in assessing financial condition of the companies of the telecommunications sector     109
  Paweł Kliber, Przemysław Garsztka: Information asymmetry, liquidity and the dynamic volume-return relation in panel data analysis     122
  Beata Lubinska: Contemporary challenges in the Asset Liability Management     135
  Radka MacGregor Pelikánová, Petra Jánošíková: The inherently (un)just real property tax     146
  Piotr Staszkiewicz, Bartosz Witkowski: Failure and insolvency. A proposal for Polish prediction models     160
  Radosław Stefaniak: Review of Value at Risk estimation methods     173
  Robert Zajkowski: A mediatory role of finance education in perception of chosen economic aspects in family and non-family firms     184
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