
11 Articles
Measuring Systemic Risk in the Polish Banking System by Means of the Risk-Based Balance Sheets Method
Influence of the American Financial Market on Other Markets During the Subprime Crisis
Properties of Normalization Methods Used in the Construction of Aggregate Measures
Modeling Gas Prices in Poland with an Application of the Vector Autoregression Method (VAR)
Commonwealth of Independent States Economic Development: Multidimensional Comparison of States
Beta Coefficients of Polish Blue Chip Companies in the Period Of 2005–2011
and
The Impact of Macroeconomic Factors on Residential Property Price Indices in Europe
and
Measurement of the Efficiency of Mutual Funds Operating on the Pan-European Market
The Efficiency of Active Asset Allocation Funds in the Period of Instability at Financial Markets
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