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Wyszukujesz frazę "Crisis 2008+" wg kryterium: Temat


Tytuł:
On theoretical and practical aspects of resistance system of the company
Autorzy:
Wyciślak, Sławomir
Powiązania:
https://bibliotekanauki.pl/articles/685095.pdf
Data publikacji:
2015
Wydawca:
Uniwersytet Jagielloński. Wydawnictwo Uniwersytetu Jagiellońskiego
Tematy:
organization, system, inspirations, systems thinking, risk, complexity, crisis 2008+
Opis:
The volatile, uncertain, complex and ambiguous environment means growing challenges for companies. New ideas could be inspiring for managers who cope with complex problems. One of the fields within which academics look for solutions is nature. The mechanism behind immunology system could also bring some stimulants for managers’ thinking. The response towards a disturbance factor of the immune system is an inspiration for identifying a resistance system of the company. From the methodological point of view, the system approach constitutes a framework for building comparisons between two different research areas, respectively – immunology and the company. The external barriers subsystem, the non-specific defence subsystem, the fuzzy specificity subsystem and the target-oriented (specific) defence subsystem constitute the resistance system of the company. In business practice, the resistance system was analysed with reference to the activities of one of the small companies.
Źródło:
Jagiellonian Journal of Management; 2015, 1, 3
2450-114X
Pojawia się w:
Jagiellonian Journal of Management
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Corruption in Spain and Catalonia after 2008
Autorzy:
Myśliwiec, Małgorzata
Stachowicz, Krzysztof
Powiązania:
https://bibliotekanauki.pl/articles/450436.pdf
Data publikacji:
2018
Wydawca:
Uniwersytet Zielonogórski. Oficyna Wydawnicza
Tematy:
Catalonia
Spain
corruption
economic crisis of 2008
Opis:
The authors decided to deal with the theme of the influence of corruption on the political processes in contemporary Spain and Catalonia. The investigation of this problem requires the reference to both: a political situation in entire state and in the peripheral region, included in the territorial range of Spain. Therefore, the main objective of the article is the attempt to answer three questions: 1) What is the corruptive phenomenon based on and why a public sphere is endangered with it to such a degree?, 2) How did the Spanish citizens react to corruptive processes after 2008?, 3) Did Catalonia, whose politicians regard this region as definitely separate from Spain, differ considerably from a political centre and other regions of the country within intensity of the occurrence of corruptive phenomena after 2008?
Źródło:
Przegląd Narodowościowy – Review of Nationalities; 2018, 8; 225-236
2084-848X
Pojawia się w:
Przegląd Narodowościowy – Review of Nationalities
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Pozorne i realne alternatywy dla neoliberalnej globalizacji
Apparent and real alternatives to neoliberal globalization
Autorzy:
Dobrowolski, Marcin
Powiązania:
https://bibliotekanauki.pl/articles/32928071.pdf
Data publikacji:
2020
Wydawca:
Fundacja PSC
Tematy:
capitalism
neoliberalism
de-growth
globalisation
post-work
climate change
fnancial crisis 2008
Opis:
Neoliberalism is a hegemonic ideology covering all areas of life almost all over the world. Capitalism is a set of economic practices that is linked to neoliberalism. Globalisation, in turn, ensures that neoliberal capitalism reaches every country and builds interdependence. As deregulation and depoliticization progresses, democratic control of this social and economic system diminishes. This results in the degeneration of the system, increasing greed and maximising profits at all costs. The complications are compounded by climate change and the depletion of fossil fuel sources. However, there are concepts that can replace neoliberal capitalism. These include universal basic income, de-growth, a green ‚New Deal’ or a vision of a world without work.
Źródło:
Alcumena. Pismo Interdyscyplinarne; 2020, 3(3); 101-119
2719-9851
Pojawia się w:
Alcumena. Pismo Interdyscyplinarne
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Icelands Financial Crisis in 2008. Political, Economic and Social Consequences
Autorzy:
Legutko, Agnieszka Joanna
Powiązania:
https://bibliotekanauki.pl/articles/648547.pdf
Data publikacji:
2017
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
Iceland
small state economy
Icelandic crisis causes
Icelandic crisis 2008
Icelandic banking system
Icelandic EU accession
Opis:
The author analyzes the successful strategy of overcoming financial breakdown in the case study of Iceland. The aim of the article is to verify a hypothesis that the Icelandic model could become a panacea for future crises? A document analysis method is applied to present essential indicators such as GDP and trade balance. With the use of a source analysis method, the collapse of the financial sector is determined as the main cause of the slump. The systematization of crisis events is introduced and deepened by the social and political situation. Changes in the state’s condition after the crash are provided and future forecasts about economic development are discussed. As a summing up, the author disapproves of the hypothesis that the Icelandic model of overcoming the financial breakdown as a panacea for future crises, pointing out that it is only applicable for specific cases and cannot be seen as a magical remedy for every kind of crisis.
Źródło:
International Studies. Interdisciplinary Political and Cultural Journal; 2017, 20, 1; 113-130
1641-4233
2300-8695
Pojawia się w:
International Studies. Interdisciplinary Political and Cultural Journal
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Odejście od konwencjonalnej polityki pieniężnej
Why departing conventional monetary policy
Autorzy:
Ząbkowicz, Anna
Powiązania:
https://bibliotekanauki.pl/articles/500304.pdf
Data publikacji:
2015
Wydawca:
Szkoła Główna Handlowa w Warszawie
Tematy:
luzowanie ilościowe
Japonia
międzynarodowy kryzys finansowy
od roku 2008
quantity easing
Japan
international financial crisis 2008+
Opis:
System Rezerwy Federalnej (Fed), a w ślad za nim Bank Anglii i Europejski Bank Centralny podjęły próby przeciwdziałania makroekonomicznym konsekwencjom współczesnego kryzysu finansowego najpierw za pomocą radykalnych obniżek stóp procentowych, a kiedy te zbliżyły się do zera, podjęły niestandardowe działania, polegające na zwiększeniu rezerw banków w banku centralnym (quantitative easing) lub na zmianie struktury bilansu banku centralnego (qualitative easing). Taka niekonwencjonalna polityka monetarna była kilka lat wcześniej praktykowana przez Bank Japonii. Po blisko pięciu latach efektywność wspomnianych prób w gospodarce USA i strefie euro jest wątpliwa, podobnie jak niejednoznaczny był efekt zainicjowania tej polityki w Japonii. Opracowanie odwołuje się do niekonwencjonalnej diagnozy Richarda Koo, która stawia sens tej interwencji w nowym świetle. Kończą je informacje, które mogą przyczynić się do wyjaśnienia, dlaczego mimo to czołowe banki centralne w Ameryce Północnej i w Europie podjęły ową niekonwencjonalną i zarazem kontrowersyjną politykę.
The Fed, being followed by Bank of England and European Central Bank, attempted to overcome contemporary financial crisis by diminishing radically interest rates first, and while they came down close to zero soon the non-conventional measures like quantitative easing and qualitative easing were undertaken. Such monetary policy techniques were practiced by Bank of Japan a couple of years earlier. After five years the effectiveness of the intervention is doubtful as it seemed to be in Japan before. The paper refers to a non-conventional diagnosis by Richard Koo which sheds new light on the question and concludes with information that might indicate on the sector's interest. According to his analysis of banks' behavior in Japan between 1990 and 2007, and despite a popular opinion on credit crunch, there was not that much a matter of banks' extreme prudence resulting from crisis of confidence. The reasons are rather to be seen in the behavior of another party that is in constraining demand on credit by the non-financial companies which saw their balances shattered in result of diving assets prices. This is the real source of Japanese deflation. If mounting private savings do not have a reverse in increasing public indebtness as they do not in Europe and the United States recently it is small chance that increased liquidity in banking sector would transform into credit that stimulates aggregate demand, prices and output.
Źródło:
Prace i Materiały Instytutu Rozwoju Gospodarczego SGH; 2015, 95 :Podejście krótkookresowe i strategiczne w polityce gospodarczej; 30-39
0866-9503
Pojawia się w:
Prace i Materiały Instytutu Rozwoju Gospodarczego SGH
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Etyka przywództwa korporacyjnego w kontekście doświadczeń związanych z kryzysem 2008+
Corporate Governance Ethics Within The Context of 2008+ Finacial Crisis
Autorzy:
Szulczewski, Grzegorz
Powiązania:
https://bibliotekanauki.pl/articles/468714.pdf
Data publikacji:
2011
Wydawca:
Polska Akademia Nauk. Instytut Filozofii i Socjologii PAN
Tematy:
Business Ethics
Ethical Leadership
Crisis 2008+
Governance Ethics
CSR
Max Scheler
Nicolai Hartman
Opis:
The author claims that during the 2008+ crisis the idea of leadership was transvalued. Speed and intensity of changes made it impossible to perform traditional functions of leaders i.e. to detect, avoid and prevent crises in corporations. CSR programs also did not prevent taking decisions that are false from an ethical point of view. It is suggested to recall the ideas of great axiology ethicists: Max Scheler and Nicolai Hartmann and to the systems of ethical leadership created by D. Lennick and F. Kiel in American Express, which were already tested during crises.
Źródło:
Prakseologia; 2011, 151; 133-153
0079-4872
Pojawia się w:
Prakseologia
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Wpływ realizacji fiskalnych kryteriów konwergencji na konkurencyjność gospodarki Polski
The impact of fiscal convergence criteria on the competitiveness of Polish economy
Autorzy:
Nawrot, Magdalena
Powiązania:
https://bibliotekanauki.pl/articles/591638.pdf
Data publikacji:
2015
Wydawca:
Uniwersytet Ekonomiczny w Katowicach
Tematy:
Konkurencyjność
Kryteria konwergencji
Kryzys 2008+
Polityka fiskalna
Polska
Competitiveness
Convergence criteria
Crisis 2008+
Fiscal policy
Polska
Opis:
Kryteria konwergencji, po raz pierwszy umieszczone w traktacie z Maastricht, stanowią zbiór wymogów, które powinna spełnić gospodarka państwa członkowskiego przed przystąpieniem do strefy euro. W wyniku problemów spowodowanych kryzysem 2008+ w wielu państwach członkowskich pojawiły się liczne kontrowersje związane z kryteriami konwergencji. Polska zobowiązała się do przyjęcia euro w momencie akcesji. Kryteria fiskalne bezpośrednio wpływają na kształt budżetu, a przez to - pośrednio - na gospodarkę, w tym konkurencyjność. Analiza wskaźników używanych w najpopularniejszych rankingach konkurencyjności pozwala zauważyć sfery bezpośrednio oraz pośrednio zależne od stopnia realizacji fiskalnych kryteriów konwergencji. Artykuł stanowi próbę odpowiedzi na pytanie o zależność pomiędzy wypełnieniem fiskalnych kryteriów konwergencji a poziomem konkurencyjności, z uwzględnieniem hamującej roli restrykcji budżetowych w sytuacji spowolnienia gospodarczego.
The convergence criteria, which were for the first time introduced in the Maastricht Treaty, constitute a set of requirements that should be met by the economy of a Member State before its accession to the euro zone. As a result of the problems caused by the crisis 2008+ in various member-states, some controversy associated with the convergence criteria has arisen. Joining the European Union, Poland pledged to eventually adopt the euro. The fiscal criteria directly affect the shape of the national budget, and thus - indirectly - whole economy, including competitiveness. Analysis of the indicators used in the most popular rankings of competitiveness, allows to identify fields that depend, directly or indirectly, on the realization of fiscal convergence criteria. This article attempts to identify the relationship between fulfillment of fiscal convergence criteria and the level of competitiveness, taking into account inhibitory role of budgetary restrictions during economic slowdown.
Źródło:
Studia Ekonomiczne; 2015, 214; 176-187
2083-8611
Pojawia się w:
Studia Ekonomiczne
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
National Currencies and National Identities: Historical Origins and Ironies of the Neoliberal Baltic Model
Autorzy:
Norkus, Zenonas
Powiązania:
https://bibliotekanauki.pl/articles/2048305.pdf
Data publikacji:
2014-12-31
Wydawca:
Wydawnictwo Adam Marszałek
Tematy:
economic crisis 2008 – 2010
postcommunism
internal devaluation
democratic corporatism
neoliberal capitalism
national money
disenchantment
Opis:
During recent economic crisis 2008 – 2010, the economic policy of internal devaluation in the Baltic States earned the applause of exponents of the neoliberal orthodoxy. How to explain the choice and ability of the Baltic States to maintain the fixed exchange parity? Economists look for conventional costbenefit calculation. The paper advances culturalist NeoWeberian argument, elaborating the concept of “nation neoliberalism” of Henri Vogt and the research of Eric Helleiner on the contribution of national currencies to the modern nation building. Because of the destruction of the national Baltic States by Soviet occupation in 1940, postcommunist transformation in the Baltic States was restitutionally oriented. Hard national currency, modelled after “that old good Litas, Lats, or Kroon” of the interwar time became a central symbol of national identity along with national flag, anthem and coat of arms. This “monetization” of the Baltic identities predisposed indigenous Baltic peoples to embrace the neoliberal model of capitalism and to accept the cost of the defence of currency peg during the crisis. The success was ironically selfdefeating, as it enabled Baltic nations to join European Monetary Union, which conclusively disenchants the money by abolishing national currencies.
Źródło:
Kultura i Edukacja; 2014, 6(106); 40-66
1230-266X
Pojawia się w:
Kultura i Edukacja
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Impact of the Credit Rating Agencies on the Financial Crisis 2007–2009
Autorzy:
Marciniak, Piotr
Powiązania:
https://bibliotekanauki.pl/articles/652843.pdf
Data publikacji:
2015-12
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
financial crisis 2008
credit rating agencies
market ratings
speculative bubble
business ethics
G24
N20
Opis:
The paper presents some ethical aspects of the credit rating agencies (CRAs) market in the light of the latest economic crisis of 2008. A historical background is also shown and how the CRA market emerged. It is emphasised how the functioning of CRAs contributed to the outbreak of the crisis and what were the consequences of over- or underestimated rating grades. The downgrading of a country has a significant influence on the deterioration of the economic condition. Simultaneously, it afflicts the citizens, who have to pay for it e.g. with higher tax rates. It is believed that overestimated ratings lead to a speculative bubble, which ends up with the crisis. The paper indicates the problems connected with the way that CRAs operate and how they relate to business ethics. The fact that those institutions are profitprofile entities, which earn their income from clients, whose financial instruments are assessed, may bring about a conflict of interests. Moreover, it is outlined how the governmental policies of countries left CRAs without any particular control, which in the end was a significant factor, too. Finally, some potential solutions are discussed, and how the approach of CRA managers should change in order to prevent the market from similar situations in the future.
Źródło:
Annales. Etyka w Życiu Gospodarczym; 2015, 18, 4
1899-2226
2353-4869
Pojawia się w:
Annales. Etyka w Życiu Gospodarczym
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The European social model – between crisis and system’s adaptability
Autorzy:
Jadwiga, Nadolska,
Powiązania:
https://bibliotekanauki.pl/articles/894835.pdf
Data publikacji:
2020-03-21
Wydawca:
Uniwersytet Warszawski. Wydawnictwa Uniwersytetu Warszawskiego
Tematy:
European social model
welfare state
globalisation
ageing of the society
neoliberalism
third way
active social policy
economic crisis 2008+
Opis:
The Author of the article sets as a research goal the diagnosis of the role of the ideological factor and objective structural conditions in the evolution of regulated capitalism on the European continent. In the text the European social model was characterized, the influence of globalisation on the regulated European capitalism was analyzed, the challenges of demography which are posed for the social structures, the job market and social security in Europe were discussed. The Author analysed the changes happening on the European job market since the 1980s in the field of institutional solutions, position of the employee, policy tools for the job market. The convergence and divergence dynamic in the development of the European social policy and the role of the EU institutions in managing the problems of modern Europe were analysed. Finally the influence of the Eurozone’s economic crisis on the EU social policy was diagnosed. In order to operationalise the research, historical and comparative methods will be used as well as institutional analysis and social index analysis.
Źródło:
Przegląd Europejski; 2015, 4 (38); 28-53
1641-2478
Pojawia się w:
Przegląd Europejski
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Kto jest odpowiedzialny za kryzys finansowy z 2008 roku?
Who Should Be Blamed for the 2008 Crisis?
Кто несет ответственность за финансовый кризис 2008 года?
Autorzy:
Breksa, Maciej F.
Powiązania:
https://bibliotekanauki.pl/articles/548447.pdf
Data publikacji:
2016
Wydawca:
Uniwersytet Rzeszowski. Wydawnictwo Uniwersytetu Rzeszowskiego
Tematy:
globalny kryzys ekonomiczny z 2008 roku
kredyty „subprime”
FED
economic crisis
“sub-prime”
2008 crisis
Opis:
Celem niniejszej pracy jest analiza czynników odpowiedzialnych za wybuch kryzysu ekonomicznego w Stanach Zjednoczonych w 2008 roku oraz próba odpowiedzi na pytanie, do jakiego stopnia mogą być one za niego winne. Pierwsza część pracy skupia się na aspektach teoretycznych. Porusza ona temat definicji kryzysów z różnej perspektywy oraz interpretacji ekonomistów, przedstawiając ich wkład w badanie tej dziedziny. Następnie zawarty został krótki zarys histo-ryczny. W drugiej części pracy autor skupia się na analizie empirycznej. Początkowo opisane zostają czynniki, które przyczyniły się do pojawienia się bańki spekulacyjnej w Stanach Zjednoczonych: nadmierną deregulację oraz nierównowagę w systemie finansowym, a także zbyt niskie stopy procentowe. Następnie praca zawiera opis kanałów, w jakich nastąpiła transmisja zjawisk kryzysowych z rynków finansowych do realnej sfery gospodarczej. Miało to miejsce na skutek: zaangażowania światowych banków w toksyczne amerykańskie aktywa, spadku popytu w krajach importujących oraz paniki na giełdach. Praca zawiera również opis działań, jakie zostały podjęte w USA w celu przeciwdziałania kryzysowi. Były to: „Plan Paulsona” oraz „TARP” – zaproponowa-ne przed rząd oraz „TALF”, „PPIP” i „QE” – opracowane przez System Rezerwy Federalnej. Na zakończenie autor przedstawia ocenę: jakie czynniki i do jakiego stopnia mogły być odpowiedzialne za wybuch kryzysu z 2008 roku, wskazując, że był to splot narastających przez lata czynników.
The aim of this paper is to investigate the causes of the U.S. subprime mortgage crisis and an attempt to analyse which factors should be blamed for the outbreak of the global recession in 2009. The first part consists of theoretical research. It begins with a definition of a crisis from various perspectives in the opinion of well-known economics and provides a general historical overview. Later on, papier highlights researchers who have been studying economic crises including their main findings and contribution. The second part of this work is devoted to an empirical analysis. Primarily, it investigates the reasons that had led to the crisis in the Unites States: excessive deregulation and growing inequality among financial market as well as too low interest rates. Secondly, paper provides a brief description on the transmission channels of the crisis to real economy, both in the US and in Europe. These were: involvement of non-US banks in “toxic” assets, declining demand in importing countries and panic among investors in stock exchanges. This resulted not only in the fall of consump-tion and investments but also increased public deficits and public debts in all economies. Finally, paper provides explanation of actions that were undertaken by public institutions including: “The Paulson Plan”, “TARP” – by government and “TALF”, “PPIP”, “QE” – by Federal Reserve System. At the end, paper attempts to evaluate what factors and to what extent where responsible for the outbreak of the recent global recession.
Źródło:
Nierówności Społeczne a Wzrost Gospodarczy; 2016, 47; 148-160
1898-5084
2658-0780
Pojawia się w:
Nierówności Społeczne a Wzrost Gospodarczy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
FDI policies in Europe in the aftermath of the 2008+ crisis
Autorzy:
Gotz, Marta
Powiązania:
https://bibliotekanauki.pl/articles/557715.pdf
Data publikacji:
2016-03-30
Wydawca:
Uniwersytet Ekonomiczny w Poznaniu
Tematy:
foreign direct investment (FDI), policy, European Union (EU), 2008+ crisis
Opis:
In the aftermath of the 2008+ crisis economic protectionism was feared to return. Financial turbulence, trade imbalances, instability of fiscal policies and labour market deterioration made intervention by the state justified. To cushion the blow various measures were launched. Whereas major economic policies such as the fiscal, monetary or labour market policies were adjusted, little is known about possible modifications in other, less popular, areas of government activity such as the policy on foreign direct investment (FDI). By combining available sources – mainly international scoreboards and rankings – this article sought to classify the member states of the European Union (EU MS) according to their policies pursued in respect of outward and inward foreign direct investment (OFDI and IFDI) after 2008. The main value added could be seen in: (i) the selection, compilation and assessment of various indicators proposed as the most suitable approximation of FDI policies; (ii) the coverage of all the EU members without a priori focusing only on some cases; and (iii) touching upon OFDI which is rather rare in FDI literature dominated by studies on IFDI. The major obstacle which may impair the quality of the research outcome was the lack of proper indicators i.e. lack of variables which can stand for genuine FDI policy. The results obtained indicate the dominance of rather more restrictive attitudes in respect of inward and outward FDI amongst the EU member states in the aftermath of the 2008+ crisis.
Źródło:
Economics and Business Review; 2016, 2(16), 1; 15-33
2392-1641
Pojawia się w:
Economics and Business Review
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
French economy since 2008 and pension system in France
Autorzy:
Stanzel, Raphaël
Powiązania:
https://bibliotekanauki.pl/articles/518144.pdf
Data publikacji:
2015
Wydawca:
Uniwersytet Gdański. Wydział Ekonomiczny
Tematy:
demography
pension system
2008 economic crisis
macroeconomic development
Opis:
French population has been growing very fast since 1945, due to immigration and to natural growth. According to the demographic prospects, population will be constantly growing during the next fifty years and the part of elderly people is also going to be growing. The state has obviously to take this tendency in consideration for reforming the pension system. Economic situation has worsened in France since the start of the crisis in 2008, like in the most European countries. In the last six years, the situation on the labour market and public finances have deteriorated. Young and unskilled workers are the most vulnerable people on the labour market in France now. The pension system as it exists today in French was built progressively since World War II. The organisation of the pension system is relatively complex and is divided between basic and supplemental schemes. There were many reforms since 1945, which didn't solve the main problem of the system which is the deficit, and for this reason an increase of the retirement age seems the only possible solution.
Źródło:
Zeszyty Studenckie Wydziału Ekonomicznego „Nasze Studia”; 2015, 7; 249-260
1731-6707
Pojawia się w:
Zeszyty Studenckie Wydziału Ekonomicznego „Nasze Studia”
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Dialog, etyka, gospodarka. Zastosowania dialogu w zarządzaniu w ujęciu niemieckojęzycznej etyki gospodarczej
Dialogue, Ethics, Economy. Aplication of Dialogue in Managment
Autorzy:
Szulczewski, Grzegorz
Powiązania:
https://bibliotekanauki.pl/articles/20311470.pdf
Data publikacji:
2012
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
dialogue
philosophy
ethics
economic crisis of 2008
Jurgen Habermas
Karl Otto Apel
Peter Ulrich
Horst Steimann
Opis:
The article presents the conditions to be met by the conversation to become a dialogue. Based on the concept of dialogue was established philosophy and ethics of dialogue, which we present. Its representatives include: Jurgen Habermas and Karl Otto Apel. Then, on the example of German business ethics demonstrates how philosophy and ethics of dialogue could become the foundation of the Republican economic ethics created by Peter Ulrich and business ethics developed by Horst Steimann. In the opinion of the author, they may be helpful in developing a new version of business ethics, which is formed under the influence of reflection on experiences Financial and economic crisis that began in 2008, and whose effects are visible to this day.
Źródło:
Annales. Etyka w Życiu Gospodarczym; 2012, 15; 207-219
1899-2226
2353-4869
Pojawia się w:
Annales. Etyka w Życiu Gospodarczym
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Dialogue, ethics, economy. The application of dialogue in management (in the context of business ethics in the German-speaking area)
Autorzy:
Szulczewski, Grzegorz
Powiązania:
https://bibliotekanauki.pl/articles/652713.pdf
Data publikacji:
2017
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
dialogue
philosophy
ethics
economic crisis of 2008
Jürgen Habermas
Karl-Otto Apel
Peter Ulrich
Horst Steinmann
Opis:
The article names the conditions that a conversation has to fulfill in order to become a dialogue. The author undertakes to present the philosophy and ethics of dialogue, which were established based on the concept of dialogue. Its representatives include Jürgen Habermas and Karl-Otto Apel. Next, on the example of German business ethics, it is demonstrated how the philosophy and ethics of dialogue could become the foundation of the Republican economic ethics, developed by Peter Ulrich, and corporate ethics, put forward by Horst Steinmann. In the author’s opinion, they may prove useful in developing a new version of business ethics, formed upon reflection about experiences of the financial and economic crisis that began in 2008 and the effects of which are visible to this day.
Źródło:
Annales. Etyka w Życiu Gospodarczym; 2017, 20, 7; 23-37
1899-2226
2353-4869
Pojawia się w:
Annales. Etyka w Życiu Gospodarczym
Dostawca treści:
Biblioteka Nauki
Artykuł

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