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Wyszukujesz frazę "Crisis Model" wg kryterium: Temat


Tytuł:
EARLY WARNING SIGNALS OF THE 2000/2001 TURKISH FINANCIAL CRISIS
Autorzy:
Arı, Ali
Powiązania:
https://bibliotekanauki.pl/articles/450538.pdf
Data publikacji:
2008
Wydawca:
Uniwersytet Gdański. Wydawnictwo Uniwersytetu Gdańskiego
Tematy:
Currency Crisis
Banking System Fragility
Third Generation Crisis Model
Turkey
Opis:
The 2000/2001 Turkish crisis was one of the most impressive crises that hit the emerging market economies in the late 90s. The characteristic of this crisis is not only its violence but also its suddenness. We observe two rapid crisis sequences which are different from recent financial crisis examples. The analysis of the Turkish crisis in the literature generally presents an analytical aspect that only relates the stylized facts of the crisis omitting a strong econometric basis. This paper goes further: it presents two models (OLS and Logit) which will test the implication level of the macroeconomic and financial variables in the outbreak of the crisis.
Źródło:
International Journal of Emerging and Transition Economies (IJETE); 2008, 1, 2; 191-218
1308-2701
Pojawia się w:
International Journal of Emerging and Transition Economies (IJETE)
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The Crisis Model: A Socially Useful Psychologism
Autorzy:
Jacobsson, Katarina
Åkerström, Malin
Powiązania:
https://bibliotekanauki.pl/articles/2107036.pdf
Data publikacji:
2015-04-30
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
Crisis
Crisis Model
Deaf
Hard-of-Hearing
Cochlear Implants
Psychologism
Caring Professionals
Parents
Opis:
The model of “crisis” is a culturally shared and widespread idea of human reactions to misfortunes such as accidents, diagnosis of disease, divorces, becoming a parent of a disabled child, and so on. The crisis model conveys the idea of coming to terms with unwanted experiences while advancing through various phases, for example, of denial, processing, and acceptance. The language of crises is integrated into Western emotional culture, particularly in the language used by caring professionals (e.g., social workers, psychologists, counselors, and health staff). Crisis talk is also frequent in the media, popular science books, and in everyday conversations when individual experiences are reported, debated, or discussed. Investigating the specific local culture of the Swedish world of the Deaf, to which families whose children have been diagnosed deaf belong, we aimed to extend the current understanding of crisis. How do parents and professionals make use of the crisis model when speaking about their own experiences, as well as the experiences of others? We observed that the crisis model served as a prop in such talk; it was used to compare, defend, criticize, and explain the behavior of others, but also to account for one’s own emotions and behavior. In the process, locally relevant identities and categorizations of others were constructed. The crisis model was originally a way of “diagnosing” parents’ emotional experiences when they learned about their children being deaf, but it has proven useful for other purposes in a context with abundant ideological differences.
Źródło:
Qualitative Sociology Review; 2015, 11, 2; 232-245
1733-8077
Pojawia się w:
Qualitative Sociology Review
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Macroeconomic imbalance procedure (MIP) scoreboard indicators and their predictive strength of ?multidimensional crises?
Autorzy:
Biegun, Krzysztof
Karwowski, Jacek
Powiązania:
https://bibliotekanauki.pl/articles/22444434.pdf
Data publikacji:
2020
Wydawca:
Instytut Badań Gospodarczych
Tematy:
macroeconomic imbalance procedure
economic crisis
multidimensional crisis
ordered probit model
Opis:
Research background: The evaluation of the predictive strength of MIP indicators in relation to crises is extremely important for the process of coordinating the economic policies of the EU countries. MIP is one of the pillars of the economic crisis prevention procedure. Predictive power of individual indicators has not been tested before their introduction. Purpose of the article: Evaluation of the predictive strength of fourteen MIP indicators in relation to multidimensional crises in the EU countries. Methods: We used ordered probit model to test the ability of MIP indicators to correctly predict episodes of ?multidimensional crises? (as defined by the authors) in the period between 2008 and 2017 in all EU Member States. Findings & Value added: We defined ?multidimensional crises?, combining several negative phenomena into one limited dependent variable. This work is also novel in its application of probit regression to test the predictive strength of MIP indicators with an ordered probit model. We identified five MIP variables which were statistically significant in predicting ?multidimensional crises? for all EU countries: net international investment position, nominal unit labour cost index, house price index, private sector credit flow and general government gross debt. Other variables turned out to be less important or not effective in crises prediction.
Źródło:
Equilibrium. Quarterly Journal of Economics and Economic Policy; 2020, 15, 1; 11-28
1689-765X
2353-3293
Pojawia się w:
Equilibrium. Quarterly Journal of Economics and Economic Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
USING GENETIC ALGORITHM IN DYNAMIC MODEL OF SPECULATIVE ATTACK
Autorzy:
Gawrońska-Nowak, Bogna
Grabowski, Wojciech
Powiązania:
https://bibliotekanauki.pl/articles/517176.pdf
Data publikacji:
2016
Wydawca:
Instytut Badań Gospodarczych
Tematy:
currency crisis
dynamic model
genetic algorithms
Opis:
Evolution of speculative attack models shows certain progress in developing the idea of the role of expectations in the crisis mechanism. Obstfeld (1996) defines expectations as fully exogenous. Morris and Shin (1998) treat the expectations as endogenous (with respect to noise), not devoting too much attention to information structure of the foreign exchange market. Dynamic approach proposed by Angeletos, Hellwig and Pavan (2006) offers more sophisticated assumption about learning process. It tries to reflect time-variant and complex nature of information. However, this model ignores many important details like a Central Bank cost function. Genetic algorithm allows to avoid problems connected with incorporating information and expectations into agent decision-making process to an extent. There are some similarities between the evolution in Nature and currency market performance. In our paper an assumption about rational agent behaviour in the efficient market is criticised and we present our version of the dynamic model of a speculative attack, in which we use a genetic algorithm (GA) to define decision-making process of the currency market agents. The results of our simulation seem to be in line with the theory and intuition. An advantage of our model is that it reflects reality in a quite complex way, i.e. level of noise changes in time (decreasing), there are different states of fundamentals (with “more sensitive” upper part of the scale), the number of inflowing agents can be low or high (due to different globalization phases, different capital flow phases, different uncertainty levels).
Źródło:
Equilibrium. Quarterly Journal of Economics and Economic Policy; 2016, 11, 2; 287-306
1689-765X
2353-3293
Pojawia się w:
Equilibrium. Quarterly Journal of Economics and Economic Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Altmanʼs Model as an Instrument for the Evaluation of the Financial Situation of the Alma Market S.A.
Autorzy:
Jakubczyk, Beata
Lewandowska, Justyna
Powiązania:
https://bibliotekanauki.pl/articles/653445.pdf
Data publikacji:
2015
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
bankruptcy
crisis
discrimination analysis
model Altman
Opis:
Using a set of standard financial statements, you can designate a large number of economic and financial indicators that show the condition of the company. A large number of indicators gives a lot of opportunities to assess the health of the company. However, there is a risk of introduction of information chaos, which instead help in the assessment of the economic and social situation of the firm may make it harder for making analyses. Comes with the help of LDA, which is becoming more and more popular method to synthetic evaluation of the financial health of enterprises on the basis of the available financial statements. It not only allows for the simultaneous and consistent use, at least a couple of economic and financial information, but also takes into account the ability of certain indicators of financial and economic bankruptcy predictor. The essence of this method involves applying a discriminatory function linear, often called discriminatory model. The calculated value to the total health assessment by subject classification of it to one of two groups, businesses operating without any visible signs of problems in the economic sphere or at risk of bankruptcy. The main objective of the article was reached to Alma Market S.A. not threatened bankruptcy in the test for years to come. The article has been following the research hypothesis: An Alma Market S.A. does not run the risk of bankruptcy in all the years of the period considered. This hypothesis is confirmed, because throughout the period, the level of this indicator was higher than Altmanʼs equation, and therefore we can bankruptcy 2,60 except in accordance with the theory of Altman.
Źródło:
Finanse i Prawo Finansowe; 2015, 2, 1
2391-6478
2353-5601
Pojawia się w:
Finanse i Prawo Finansowe
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Information model of analysis of city as a complex dynamic system
Informacyjny model analizy miasta jako kompleksowy system dynamiczny
Autorzy:
Danylov, S.
Powiązania:
https://bibliotekanauki.pl/articles/369635.pdf
Data publikacji:
2018
Wydawca:
Zachodniopomorski Uniwersytet Technologiczny w Szczecinie. Wydawnictwo Uczelniane ZUT w Szczecinie
Tematy:
city
system
crisis
cluster
model
sustainability
catastrophe
Opis:
The article describes the newly developed innovative methods that allow monitoring the dynamic processes occurring in the city and evaluating it as an open, complex and dynamic system. Based on these methods, an information accumulative interactive model of analysis of functioning and development of the city was developed. The developed model is the basis for a cognitive research model that allows: identifying the necessary and sufficient number of indicators of sustainability, crises and possible disasters in the city; forming step-by-step strategies for rehabilitation of urban areas; interactively analyzing the reaction of the urban environment to planned adjustments to optimize its vital processes.
Źródło:
Przestrzeń i Forma; 2018, 33; 95-106
1895-3247
2391-7725
Pojawia się w:
Przestrzeń i Forma
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Detection of pathological crisis processes in branches of economy (on the example of agriculture of Ukraine)
Autorzy:
Pronoza, P.
Powiązania:
https://bibliotekanauki.pl/articles/105832.pdf
Data publikacji:
2015
Wydawca:
Centrum Badań i Innowacji Pro-Akademia
Tematy:
crisis pathological processes
agriculture
signal panel
imbalance
disequilibria
structural model
logical model
detection
crisis indicators
rolnictwo
panel sygnałowy
nierównowaga
model strukturalny
model logiczny
detekcja
wskaźniki kryzysu
Opis:
The article is devoted to applying the concept of early detection of pathological crisis processes to analyze the dynamics of Ukrainian agriculture development in 2003-2011. The analysis is based on time series of the export, import, production volume, export and import prices for agricultural products, volume of loans and investments. Despite the fact that the only branch that demonstrated the growth of output in 2008-2009 was agriculture, there were observed four years of crisis in agriculture during the period under consideration. The built signal panel and structural and logical model of pathological crisis processes detection in agriculture of Ukraine showed that the leading role was played by the investment balance deficit, reduction of the technological level of exports compared to imports and growth of domestic production credit bubble.
Źródło:
Acta Innovations; 2015, 17; 56-64
2300-5599
Pojawia się w:
Acta Innovations
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Slowdown or Recession? Forecasts Based on Composite Leading Indicator
Autorzy:
Klúcik, Miroslav
Juriová, Jana
Powiązania:
https://bibliotekanauki.pl/articles/483289.pdf
Data publikacji:
2010
Wydawca:
Polska Akademia Nauk. Czytelnia Czasopism PAN
Tematy:
Global economic crisis
recession
composite leading indicator
ARIMAX model
error correction model
Opis:
The economy of Slovakia experienced a turning point in the 1st half of 2008 and entered a phase of decline. The negative impacts of the global economic crisis became evident in the 2nd half of 2008 and led into a recession in the 1st quarter of 2009. The composite leading indicator was originally intended for forecasting of business cycle turning points between the decline and growth phases. The aim of this paper is to transform the qualitative information from composite leading indicator into quantitative forecast and verify whether the beginning of recession in Slovakia could have been identified in advance. The ARIMAX and error correction models are used for the composite reference series and GDP forecasts respectively. The final result shows that the composite leading indicator is useful not only for identifying turning points, but also for the prediction of recession phase.
Źródło:
Central European Journal of Economic Modelling and Econometrics; 2010, 2, 1; 17-36
2080-0886
2080-119X
Pojawia się w:
Central European Journal of Economic Modelling and Econometrics
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Cointegration analysis and VECM of FDI, employment, export and GDP in Croatia (2002-2017) with particular reference to the global crisis and poor macroeconomic governance
Autorzy:
Škare, Marinko
Franc-Dąbrowska, Justyna
Cvek, Dajana
Powiązania:
https://bibliotekanauki.pl/articles/22444360.pdf
Data publikacji:
2020
Wydawca:
Instytut Badań Gospodarczych
Tematy:
FDI
VECM model
macroeconomic variables
long-term equilibrium
crisis
Opis:
Research background: The preconditions for attracting foreign investment are political stability and long-term capital investment, positively influencing the recipient country's development. During the crisis as well as in the unstable political environment, economic agents engage in speculative and risky acts for faster earnings. Purpose of the article: The paper aims to point out the importance of foreign direct investments (FDI) and other macroeconomic variables and their relationship with particular reference to the Croatian economy in 2002-2017. Methods: We use ADF test, development of the VECM model, testing of the stability of the VECM model, decomposition of the variance of the predictive errors of the variables, analysis of responses to unit orthogonal pulses. The vector correction auto-regression model (VECM) explores the long-term relationship between (FDI) and macroeconomic indicators in crisis time. Findings & Value-added: Applying the VECM model, we find that employment, export, and GDP variables are exogenous in the short term. The FDI variable is statistically significant and adjusts for the long-run equilibrium. Analyzing the responses to unit shocks, we conclude there is weak feedback of the observed variables and a weak effect of the observed variables in the Croatian economy. The FDI variable does not affect GDP, employment, and exports in Croatia due to poor macroeconomic management, corruption, regional development, inefficiency, and inefficient foreign direct investment structure.
Źródło:
Equilibrium. Quarterly Journal of Economics and Economic Policy; 2020, 15, 4; 761-783
1689-765X
2353-3293
Pojawia się w:
Equilibrium. Quarterly Journal of Economics and Economic Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Euro, dollar or Swiss franc: which currency had the greatest impact on the Hungarian, Polish and Czech economies during the global financial crisis?
Autorzy:
Kliber, Agata
Płuciennik, Piotr
Powiązania:
https://bibliotekanauki.pl/articles/1047384.pdf
Data publikacji:
2021-05-31
Wydawca:
Główny Urząd Statystyczny
Tematy:
bond spread
copula-GARCH model
debt crisis
Central Europe
Opis:
The article presents an analysis of the impact of foreign currency dynamics on the fundamentals (basic indices of the economic performance) of the Czech Republic, Hungary and Poland during the financial crisis of 2007/2008 and its aftermath until 2017. The subject of the analysis are three currencies: the US dollar, the euro and the Swiss franc. The assessment of their impact on the fundamentals of the three above-mentioned economies is based on the joint volatilities of bond spreads and currencies. A series of copula-GARCH models was estimated. The research demonstrates that the impact of foreign currencies was the strongest in the case of Poland and Hungary, as these two countries were more dependent on loans in foreign currencies than the Czech Republic. Another finding shows that the impact decreased significantly in Hungary after its government introduced loan conversion.
Źródło:
Przegląd Statystyczny; 2020, 67, 4; 247-273
0033-2372
Pojawia się w:
Przegląd Statystyczny
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Modele symulacyjne w doskonaleniu procesów logistycznych w systemach zarządzania kryzysowego
Simulation models in improving logistic processes in crisis management systems
Autorzy:
Zaskórski, Piotr
Ogórek, Mieczysław
Powiązania:
https://bibliotekanauki.pl/articles/1385104.pdf
Data publikacji:
2019
Wydawca:
Polskie Wydawnictwo Ekonomiczne
Tematy:
model
symulacja
model symulacyjny
proces logistyczny
zarządzanie kryzysowe
simulation
simulation model
logistics processe
crisis management system
Opis:
Współczesne organizacje funkcjonują w środowisku turbulentnym, które powoduje potrzebę wykorzystywania zaawansowanych technologii, a w tym m.in. systemów symulacyjnych, umożliwiających wcześniejszą ocenę sytuacji przy ustalonych ograniczeniach, jak również wariantowanie i wybór optymalnych rozwiązań. Bardzo duże znaczenie nabiera sprawność procesów logistycznych, które stają się główną determinantą ciągłości działania szczególnie w warunkach zaistnienia kryzysu i potrzeby utrzymania odpowiedniego poziomu bezpieczeństwa w dłuższym horyzoncie czasowym. Modele symulacyjne mogą więc sprzyjać doskonaleniu oraz usuwaniu prognozowanych luk w systemach logistycznych w różnych wymiarach zarządzania kryzysowego.
Modern organizations operate in a turbulent environment that causes the need to use advanced technologies, including simulation systems, allowing for early assessment of the situation at set limits, as well as varianting and selection of optimal solutions. Very important is the efficiency of logistics processes, which become the main determinant of business continuity, especially in the conditions of crisis and the need to maintain an adequate level of security over a longer time horizon. Thus, simulation models can support the improvement and removal of forecast gaps in logistic systems in various dimensions of crisis management.
Źródło:
Gospodarka Materiałowa i Logistyka; 2019, 5; 767-782
1231-2037
Pojawia się w:
Gospodarka Materiałowa i Logistyka
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Rezyliencja jako element modelu kompetencji menedżera do zarządzania kryzysem
Resilience as a key element of managerial competences in crisis management
Autorzy:
Bugaj, Justyna
Witek, Andrzej
Powiązania:
https://bibliotekanauki.pl/articles/18653945.pdf
Data publikacji:
2022-07-12
Wydawca:
Szkoła Główna Handlowa w Warszawie. Kolegium Zarządzania i Finansów
Tematy:
resilience
competence model
managerial competences
crisis management
rezyliencja
model kompetencyjny
kompetencje menedżera
zarządzanie kryzysem
Opis:
Kryzys to zjawisko rzadkie, często analizowane w kontekście ryzyka i niepewności. Z jednej strony oznacza zbliżające się niebezpieczeństwo, z drugiej ukryte możliwości. Unikalna umiejętność odnalezienia się w takiej sytuacji staje się niezbędna dla współczesnych menedżerów. Rezyliencja to zagregowana kompetencja skupiająca w sobie między innymi takie umiejętności i cechy, jak: uważność; siła charakteru; wiara w siebie; spokój; panowanie nad stresem i emocjami; wewnętrzna siła umożliwiająca walkę z przeciwnościami; odporność na działanie czynników szkodliwych. Celem artykułu jest uzyskanie odpowiedzi na dwa pytania: 1) czy posiadanie kompetencji, takiej jak rezyliencja, umożliwia menedżerom poradzenie sobie z kryzysem w organizacji? 2) czy rezyliencja może stać się elementem modelu kompetencji współczesnego menedżera? Na podstawie analizy treści literatury przedmiotu przedstawiono kompetencje współczesnych menedżerów oraz przeanalizowano pojęcie rezyliencji. Opracowano autorski model kompetencyjny menedżerów do zarządzania kryzysowego. Artykuł porządkuje wiedzę z zakresu nauk o zarządzaniu i jakości w obszarze kompetencji menedżerskich w zarządzaniu kryzysem oraz zawiera treści pomocne w ukierunkowanym rozwoju menedżerów.
Crisis is a rare phenomenon, often analysed in the context of risk and uncertainty. It means impending danger, but also hidden opportunities. The unique ability to adapt to such a situation becomes indispensable for modern managers. Resilience is an aggregated competence that includes, among others, such skills and qualities as: mindfulness, strength of character, self-confidence, peace of mind, stress management skills, the ability to fight adversity, resistance to harmful factors. The aim of this article is to tackle two questions: 1) Does resilience enable managers to cope with a crisis in an organisation? 2) Can resilience become an element of a competency model of a modern manager? Based on the literature analysis on the subject, the competences of modern managers were presented and the concept of resilience was analysed. On this basis, an original managerial competence model for crisis management was developed. The article organises knowledge in the field of management and quality sciences as for managerial competences in crisis management. It also contains ideas helpful in the targeted development of managerial competences.
Źródło:
Studia i Prace Kolegium Zarządzania i Finansów; 2022, 184; 9-19
1234-8872
2657-5620
Pojawia się w:
Studia i Prace Kolegium Zarządzania i Finansów
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Current and future roles in the social economy and the COVID-19 crisis
Obecne i przyszłe role w ekonomii społecznej a kryzys COVID-19
Autorzy:
Kawęcki, Norbert
Powiązania:
https://bibliotekanauki.pl/articles/23051071.pdf
Data publikacji:
2022-09-26
Wydawca:
Wojskowa Akademia Techniczna im. Jarosława Dąbrowskiego
Tematy:
gospodarka społeczna
kryzys
COVID-19
model biznesowy
transformacja
social economy
crisis
business model
transformation
Opis:
“The social economy” has played an important role in addressing and mitigating the short- and long-term economic and social impacts of the COVID-19 crisis. In the short term, social economy actors helped emerge from the crisis by providing innovative solutions to strengthen public services to complement government action. In the longer term, social economy organizations can help transform the post-crisis economy by promoting inclusive and sustainable economic models. Relying on decades of experience, its peculiarities and fundamental principles, the social economy can inspire models for social innovation and a sense of business operating in a market economy. The aim of this article is to show how the social economy is mitigating the effects of the COVID-19 crisis and how governments are responding to these problems, as well as to show how the pandemic has caused numerous changes in economic activity and the way companies operate. The main conclusions of the article are: the social economy helps recover from COVID-19, the social economy helps to transform societies in crisis, the social economy inspires the mainstream economy to achieve a social goal, Policy makers support the political economy in its transformation.
„Ekonomia społeczna” odegrała ważną rolę w rozwiązywaniu i łagodzeniu krótko- i długoterminowych skutków gospodarczych i społecznych kryzysu wywołanego COVID-19. W perspektywie krótkoterminowej podmioty ekonomii społecznej pomogły wyjść z kryzysu, dostarczając innowacyjne rozwiązania wzmacniające usługi publiczne w celu uzupełnienia działań rządowych. W dłuższej perspektywie organizacje ekonomii społecznej mogą pomóc w przekształceniu gospodarki pokryzysowej dzięki promowaniu integracyjnych i zrównoważonych modeli ekonomicznych. Opierając się na dziesięcioleciach doświadczeń, swoich osobliwościach i fundamentalnych zasadach, ekonomia społeczna może inspirować modele innowacji społecznych i poczucia biznesu działającego w gospodarce rynkowej. Celem niniejszego artykułu jest pokazanie, w jaki sposób ekonomia społeczna łagodzi skutki kryzysu COVID-19 i jak rządy reagują na te problemy, a także jak pandemia spowodowała liczne zmiany w działalności gospodarczej i obsłudze firm. Główne wnioski płynące z artykułu to: ekonomia społeczna umożliwia wyjście z COVID-19, ekonomia społeczna pomaga przekształcać społeczeństwa w kryzysie, ekonomia społeczna inspiruje ekonomię głównego nurtu do osiągnięcia celu społecznego, politycy wspierają ekonomię polityczną w jej transformacji.
Źródło:
Nowoczesne Systemy Zarządzania; 2022, 17, 3; 49-64
1896-9380
2719-860X
Pojawia się w:
Nowoczesne Systemy Zarządzania
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
FINANCIAL INTEGRATION IN THE EUROPEAN UNION - THE IMPACT OF THE CRISIS ON THE BOND MARKET
Autorzy:
Vukovic, Darko B.
Hanic, Edin
Hanic, Hasan
Powiązania:
https://bibliotekanauki.pl/articles/517244.pdf
Data publikacji:
2017
Wydawca:
Instytut Badań Gospodarczych
Tematy:
financial integration
crisis
bonds market
ALB model
European Monetary Union
Opis:
Research background: In our paper we have analyzed the influence of the crisis on the financial integration in the European Monetary Union. We have analyzed EMU capital market to show the impact of the crisis, with the focus on the bonds market. The determinants of the research are yields and standard deviations on medium-term and long-term triple-A bond markets, as well as CDS medium-term premiums. Purpose of the article: The aim of this paper is to show the volatility of researched deter-minants in periods of crisis in EMU zones. Methods: As a model we used a modified theoretical CAL portfolio model. In the last fifteen years Europe has been faced with two major crises: the world economic crisis and sovereign debt crisis. Findings & Value added: We believe that the sovereign crisis hit EMU more, leaving the deeper implications on the financial integration. Our analysis has showed that the crisis had a major impact on the financial integration. Yields and standard deviations increased multiply in periods of crisis and left the impact of volatility on the capital market. However, the degree of convergence of euro area bond markets largely stabilized in last two years.
Źródło:
Equilibrium. Quarterly Journal of Economics and Economic Policy; 2017, 12, 2; 195-210
1689-765X
2353-3293
Pojawia się w:
Equilibrium. Quarterly Journal of Economics and Economic Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Construction de l’événement médiatique à l’exemple de la crise des migrants en Europe. Vers une dimension argumentative
The structure of a media event based on the example of the European migrant crisis. Argumentative model assessment
Autorzy:
Dyoniziak, Jolanta
Powiązania:
https://bibliotekanauki.pl/articles/1048559.pdf
Data publikacji:
2017-09-15
Wydawca:
Uniwersytet im. Adama Mickiewicza w Poznaniu
Tematy:
media event
press discourse
mediatisation of migrant crisis
argumentative model
Opis:
In this publication we would like to consider the issue of discursive strategy responsible for mediatisation of the migrant crisis currently taking place in Europe, partly as a result of military actions in the Middle East. The first objective is to describe media representation of the European migrant crisis published in the French and Polish press over the last five years. The author especially emphasizes one discursive moment, year 2015, when a significant increase in the number of migrants arriving in Europe occurred. The next task will be to assess the argumentative potential that results from a particular staging of the discussed event.
Źródło:
Studia Romanica Posnaniensia; 2017, 44, 3; 59-71
0137-2475
2084-4158
Pojawia się w:
Studia Romanica Posnaniensia
Dostawca treści:
Biblioteka Nauki
Artykuł

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