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Piotr Lis
Pág. 2 - 6
Dear Readers,I have the pleasure of presenting to you the first issue of our research journal entitled ?Research Papers in Economics and Finance? (REF), published by the Faculty of Economics at Poznan University of Economics and Business. Caring about th...
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Min Song, Yuxin Ji, Mingdi Zhu, Junji Yue and Luping Yi
Revealing the performance of farmland conservation policies that use different types of policy instruments can provide a basis for optimizing such policies. Based on farmers? perceptions of farmland conservation policies, this paper conducted an empirica...
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Monday Uhunmwangho
Pág. 94 - 100
Recent regulations are directed at mitigating financial market risk, because risks, especially volatility dampen investors? confidence, and hinder firms? ability to raise funds at the exchange. Though, volatility had been investigated in the past, the jo...
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John Gatsi,Anthony A.A. Idun,Felix Mensah
AbstractOrientation: The financial system performs essential role in the mechanisms through which economic activities translate into economic growth and development of African economies, especially through their role in the allocation of finance from the...
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Marina Ðordevic,Jadranka Ðurovic Todorovic,Milica Ristic Cakic
Pág. 231 - 248
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Lilit Popoyan
After the destructive impact of the global financial crisis of 2008, many believe that pre-crisis financial market regulation did not take the ?big picture? of the system sufficiently into account and, subsequently, fi- nancial supervision mainly ?missed...
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Amilcar Sawindo Sanjimbi
Pág. 35 - 44
The purpose of this article is to assess the impacts of the monetary policy instruments adopted in Angola, within the framework of covid-19. Despite the vast literature associated with the understanding of inflationary processes, the option is to use the...
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Fitrawaty Fitrawaty
Pág. 421 - 431
Penelitian ini bertujuan untuk menganalisis bagaimana interdependensi instrument kebijakan moneter dengan pengangguran di Indonesia selama periode tahun 2000 ? 2011. Data yang digunakan adalah data time series yang diperoleh dari Bank Indonesia, Biro Pus...
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Ioana Plescau
The aim of our study is to review the monetary framework and instruments adopted by the inflation-targeting countries in Central and Eastern Europe, from 2005-ownwards. We employ a qualitative approach and develop a comparative analysis of the changes th...
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Rami Obeid,Mohammad Adeinat
Pág. 515 - 525
This study aimed at measuring the factors that affect the Net Interest Margin (NIM) in the commercial banks operating in Jordan using the data on annual frequency for 19 commercial banks covering the study period (2005-2015) (panel data). Econometric mod...
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