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Wyszukujesz frazę "financial policy," wg kryterium: Temat


Tytuł:
The impact of Islam on finances and the organisation and functioning of enterprises in the MENA region
Autorzy:
Salamon, Justyna
Powiązania:
https://bibliotekanauki.pl/articles/18104651.pdf
Data publikacji:
2021-12-28
Wydawca:
Szkoła Główna Handlowa w Warszawie. Kolegium Zarządzania i Finansów
Tematy:
culture
financial policy
Islam
management
religion
Opis:
The aim of the research is to show the impact of religion, in this case Islam, on the finances and functioning of enterprises in the region of North Africa and the Middle East (MENA). The key issue is to answer the question whether religion can be decisive for the organisational structure and directly affect the decision-making process within an enterprise. Particular attention was paid to the financial sector, which introduced the greatest number of do’s and don’ts related to Islam. The first part of the article defines the relationship between culture, religion, and organisational culture. There are also terms referring directly to Islam and the division into what is allowed and forbidden (halal/haram). In the context of financial activities, terms such as riba, gharar, mudaraba, musharaka, murabaha were distinguished. The case of Spain and the importance of Islam in connection with the development of the halal industry were also referred to.
Źródło:
Journal of Management and Financial Sciences; 2021, 43; 39-51
1899-8968
Pojawia się w:
Journal of Management and Financial Sciences
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Rynek finansowy Unii Europejskiej – wyzwania
Challenges to financial markets in the EU
Autorzy:
Mikita, Małgorzata
Powiązania:
https://bibliotekanauki.pl/articles/16539519.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
EU financial market
eurozone
financial crisis
financial stability
Opis:
In this article, the author focuses on two challenges that aim to increase the security of the EU’s financial market operations: namely, more effective supervision of financial conglomerates at the EU level, and improving the transparency of sovereign wealth funds (SWFs). The first part of the article presents the EU actions with regard to financial market integration; i.e., current integration activities and planned changes to European financial market regulations. The second part looks at the challenges facing financial markets in the European Union. The author concludes that the main priority for the EU should be strengthening its economic governance and ensuring stability of its operations.
Źródło:
Studia BAS; 2012, 3(31); 29-42
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Charakterystyka centrów finansowych offshore – tzw. rajów podatkowych
Offshore financial centres
Autorzy:
Wiśniewski, Piotr
Powiązania:
https://bibliotekanauki.pl/articles/16539530.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
fiscal policy
offshore financial centre
tax haven
fiscal harmonisation
Opis:
The aim of this article is to introduce the concept of offshore financial centres (so-called „tax havens”). The first section briefly reviews definitions and characteristics of a tax haven. Next, the categorisation of offshore financial centres is presented. The last section examines financial and economic competitiveness of offshore financial centres. In the context of the EU’s fiscal harmonisation special attention is given to overseas territories of EU member states that can be classified as offshore financial centres.
Źródło:
Studia BAS; 2012, 3(31); 183-203
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Rola instrumentów inżynierii finansowej w alokacji funduszy Unii Europejskiej
The role of financial engineering instruments in the allocation of EU funds
Autorzy:
Pełka, Wanda
Powiązania:
https://bibliotekanauki.pl/articles/16539533.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
multi‑annual financial framework
EU funds
cohesion policy
financial programming
financial engineering
Opis:
The aim of this paper is to present an alternative financing mechanism that could be used in the next programming period. The first section briefly examines the main differences between a financing system that is based on grants and one that is based on financial instruments. Next, the author describes the financial engineering instruments used at the national and EU levels. The final section assesses the advantages and disadvantages of financial mechanisms that combine financial instruments with private capital. As the SWOT analysis shows, the financial engineering instruments could be effectively used to increase the absorption of EU funds in the period 2014–2020.
Źródło:
Studia BAS; 2012, 3(31); 223-240
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Rola Europejskiego Banku Centralnego w ramach instytucjonalnych uwarunkowań stabilności finansowej Unii Gospodarczej i Walutowej
The European Central Bank’s role in the context of the Economic and Monetary Union stability conditions
Autorzy:
Machelski, Tomasz
Powiązania:
https://bibliotekanauki.pl/articles/16539520.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
eurozone
financial crisis
eurozone crisis
European Central Bank
Opis:
The aim of this paper is to discuss European Central Bank (ECB)’s powers with regard to maintaining stability in the Economic and Monetary Union (EMU)’s member states. First, the author examines key tasks of the ECB as a central bank, focusing on its special character and competencies. In the second section, the ECB’s actions during the financial crisis are outlines, as well as some legal limitations on its powers. In the final section, the author discusses issues related to currency, price stability and euro stability.
Źródło:
Studia BAS; 2012, 3(31); 43-61
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Budżet Unii Europejskiej a budżet państwa Polski
EU budget and Poland’s government budget
Autorzy:
Szpringer, Zofia
Powiązania:
https://bibliotekanauki.pl/articles/16539528.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
budgetary policy
EU budget
government budget
EU funds
Opis:
In this article, the author discusses selected aspects of Poland’s government budget in the wider context of the EU budget, with particular focus on connections and interactions between the two governments. The paper begins by providing a review of legal regulations concerning EU funds as they apply to national government. Next, the specific character of EU budget and its features are explained. In conclusion, the author discusses linkages between the EU budget and Poland’s national budget.
Źródło:
Studia BAS; 2012, 3(31); 133-160
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Wiederaufleben der deutsch-französischen Partnerschaft? Eine Bestandsaufnahme im doppelten Wahljahr 2017
The resurgence of the Franco-German partnership. A review in the double election year 2017
Autorzy:
WERNERT, YANN
Powiązania:
https://bibliotekanauki.pl/articles/625548.pdf
Data publikacji:
2017
Wydawca:
Uniwersytet im. Adama Mickiewicza w Poznaniu
Tematy:
France
Germany
European Financial Policy
European Social Policy
European Defence Policy
Opis:
This article argues that the relations between France and Germany have gained a new dynamic since the French elections of 2017. While president Macron shares more common views with the German left, he will most likely accommodate with conservative parties as well. European reforms have to be expected in the fields of finance, social and defence policy.
Źródło:
Rocznik Integracji Europejskiej; 2017, 11; 213-224
1899-6256
Pojawia się w:
Rocznik Integracji Europejskiej
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Ewolucja wieloletnich ram finansowych Unii Europejskiej
Evolution of the multi‑annual financial framework of the European Union
Autorzy:
Russel, Piotr
Powiązania:
https://bibliotekanauki.pl/articles/16539522.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
financial policy
EU budget
EU multi - annual financial framework
financial programming
financial perspective
Opis:
The paper looks at the EU’s multi - annual financial programming with particular emphasis on the current multi-annual financial framework (MFF) for 2007–2013. The paper begins by describing the main categories of revenue and expenditure of the EU budget during the period 1988–2011. Next, the origin of the EU’s medium‑term planning is briefly presented, as well as the first three (i.e. 1988–1992, 1993–1999 and 2000–2006) financial frameworks. The final section assesses the 2007–2013 framework. On the basis of this analysis, the author concludes that over the years major changes have occurred in both the income sources and spending priorities for the EU budget.
Źródło:
Studia BAS; 2012, 3(31); 87-108
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
IDENTIFICATION OF SMART SPECIALISATIONS IN POLISH REGIONS IN THE CONTEXT OF THE EUS NEW FINANCIAL PERSPECTIVE 2014-2020
Autorzy:
Kogut-Jaworska, Magdalena
Powiązania:
https://bibliotekanauki.pl/articles/488947.pdf
Data publikacji:
2015
Wydawca:
Instytut Badań Gospodarczych
Tematy:
smart specialisation
regional policy
economic development
public finance
UE financial policy
Opis:
The smart specialisation is a new EU’s concept towards the regions. It assumes upgrading of innovation and competitiveness basing on endogenic potential, in particular, in already existing branches of economy. Smart specialisations should, by definition concentrate economic resources on chosen priorities. Having a smart specialisation will be a pre-condition for access to the UE’s funds in the new financial perspective 2014-2020. Smart specialisation need to be clearly defined and only then can they contribute into economic growth combined with proper management over public financial means. The necessary pre-condition is to understand the very concept and to recognize the mechanism of identification and implementation. The expected pre-conditions also include a proper legal framework and its smart implementation through able application of administrative tools. The objective of the paper is to introduce and characterise assumptions for smart specialisations and to indicate at the progress of implementation and the necessary conditions required in Polish regions. Moreover, the paper reviews and analyses major European and national documents exposing the question of smart specialisations. The empiric part deals with identification and assessment of progress in the implementation of the concept into Polish regions.
Źródło:
Oeconomia Copernicana; 2015, 6, 2; 23-36
2083-1277
Pojawia się w:
Oeconomia Copernicana
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Wieloletnie ramy finansowe Unii Europejskiej na lata 2014–2020
The EU’s 2014–2020 multi‑annual financial framework
Autorzy:
Małuszyńska, Ewa
Sapała, Magdalena
Powiązania:
https://bibliotekanauki.pl/articles/16539527.pdf
Data publikacji:
2012
Wydawca:
Kancelaria Sejmu. Biuro Analiz Sejmowych
Tematy:
European Union
financial policy
multi‑annual financial framework
EU budget
european added value
Opis:
This article reports on the key issues regarding the multi‑annual financial framework for the years 2014–2020. In the first section, the authors look at the budget revenues in the wider context of the proposed reforms and extra‑budgetary sources of financing EU policies. An overview of the European Added Value – the foundation for the MFF – is presented as well. Next, the expenditures during the next MFF, including its volume, structure, and flexibility, are analysed. The final section explores the institutional aspects of the MFF decision‑making procedure and achievements of the negotiations to date.
Źródło:
Studia BAS; 2012, 3(31); 109-131
2080-2404
2082-0658
Pojawia się w:
Studia BAS
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The role of smart specializations in regional innovation policy – an analysis based on blue-economy sectors
Autorzy:
Kogut-Jaworska, Magdalena
Powiązania:
https://bibliotekanauki.pl/articles/134928.pdf
Data publikacji:
2019
Wydawca:
Akademia Morska w Szczecinie. Wydawnictwo AMSz
Tematy:
smart specialization
blue growth
blue economy
regional policy
UE financial policy
innovation
economic development
Opis:
This paper explores the role of regional policy in strengthening the EU’s research and innovation policy paradigm, with a particular focus on smart specializations. These specializations play a major role in stimulating R&I at the regional level in less-developed regions of the EU. Smart specialization is the EU’s new concept for the regions; it assumes improvement in both innovation and competitiveness, based on endogenic potential; in particular, in already existing branches of the economy. Smart specializations should, by definition, concentrate economic resources on chosen priorities; one of these priorities is the growth of the blue economy. Smart specializations need to be clearly defined, only then can they contribute to economic growth when combined with proper management of public financial means. The objective of this paper is to introduce and characterize the assumptions for smart specializations and to assess the progress of their implementation and the necessary conditions required in Polish regions; particularly when referring to sectors of the blue economy.
Źródło:
Zeszyty Naukowe Akademii Morskiej w Szczecinie; 2019, 60 (132); 115-121
1733-8670
2392-0378
Pojawia się w:
Zeszyty Naukowe Akademii Morskiej w Szczecinie
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Sektory bankowe krajów BRIC w warunkach globalnego kryzysu finansowego
BRIC Banking Sectors in Conditions of the Global Financial Crisis
Autorzy:
Krystyna, Mitręga-Niestrój
Puszer, Blandyna
Powiązania:
https://bibliotekanauki.pl/articles/585593.pdf
Data publikacji:
2014
Wydawca:
Uniwersytet Ekonomiczny w Katowicach
Tematy:
Globalna polityka finansowa
Kryzys finansowy
Sektor bankowy
Banking sector
Financial crisis
Global financial policy
Opis:
Artykuł podejmuje problem funkcjonowania sektorów bankowych państw BRIC w warunkach globalnego kryzysu finansowego. Celem artykułu jest przedstawienie następstw globalnego kryzysu finansowego w sektorach bankowych państw BRIC, jak również nakreślenie działań podejmowanych w tych warunkach przez banki centralne. Globalny kryzys finansowy zagroził głównie gospodarkom analizowanych krajów (m.in. poprzez obniżenie eksportu i spadek napływu inwestycji zagranicznych). Negatywne tendencje ujawniły się jednak również w sektorach bankowych (czego przykładem może być ograniczenie akcji kredytowej). Działania podjęte przez banki centralne i same instytucje finansowe pozwoliły nie tylko przeciwdziałać zaburzeniom w sektorach bankowych, ale również wspierać krajowe gospodarki w warunkach kryzysu.
The article undertakes the problem of functioning of BRIC banking sectors in conditions of global financial crisis. The aim of this article is to present the consequences of the global financial crisis in the BRIC banking sectors, as well as the outline of the measures taken by the central banks in these circumstances. The global financial crisis threatened mainly the economies of the analyzed countries (e.g. by reducing exports and causing drop in the influx of foreign investment). However, the negative trends also revealed in the banking sectors (for example the decrease of banks' lending). The actions taken by central banks and financial institutions have helped not only to counteract the disturbance in the banking sectors, but also to support the national economy in the conditions of crisis.
Źródło:
Studia Ekonomiczne; 2014, 184; 93-105
2083-8611
Pojawia się w:
Studia Ekonomiczne
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
International Anti-Money Laundering Regulations Through the Prism of Financial Inclusion and Competition
Autorzy:
Khlopenko, Oleksandr
Powiązania:
https://bibliotekanauki.pl/articles/2159188.pdf
Data publikacji:
2019-10-29
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
international tax law
money-laundering
financial transactions tax
IMF
policies
international financial policy
international financial regulation
Opis:
The last three decades have been marked by a battle with money laundering, tax evasion, and even though not strictly illegal, but no less harmful, tax avoidance after the boom in those legal and accountancy services back in the 1980s. The methods that national, international, and supranational organization have used range from doctrinal soft power to outright bullying, which were supported by their apologists for the sake of the common good. Yet the policies implemented so far have somehow not addressed the lack of theoretical and practical application of ‘inclusion’ and ‘equality’ into their framework. The same three decades have been characterized by the ever-growing wealth gap and the concentration of capital in the hands of the minority, whose prerogative, as pointed out by Gabriel Zucman in his classical work ‘The Hidden Wealth of Nations’ (2015), remains to preserve that wealth in their hands through whichever means necessary. The article researches into the implementation methods of anti-money laundering (AML) regulations, their long-term effects in developing economies, and the restrictive effects in relation to financial inclusion, the marginalized population in developing economies, and the application of the European Union’s principles and laws on competition.
Les trois dernières décennies ont été marquées par la lutte contre le blanchiment d’argent, l’évasion fiscale et, même si elle n’est pas strictement illégale, l’évasion fiscal après le boom des services juridiques et comptables dans les années 1980, qui est aussi nuisible. Les méthodes utilisées par les organisations nationales, internationales et supranationales vont de la puissance douce doctrinale à l’intimidation pure et simple, qui a été soutenue par leurs apologistes pour le bien commun. Pourtant, les politiques mises en oeuvre jusqu’à présent n’ont pas, d’une manière ou d’une autre, résolu le manque d’application théorique et pratique de l’»inclusion» et de l’»égalité» dans leur cadre. Ces mêmes trois décennies ont été caractérisées par l’écart de richesse croissant et la concentration du capital entre les mains de la minorité, dont la prérogative, comme le souligne Gabriel Zucman dans son ouvrage classique «The Hidden Wealth of Nations» (Zucman, 2015), est de préserver cette richesse entre leurs mains par tous les moyens nécessaires. L’article se penche sur les méthodes de mise en oeuvre de la réglementation anti-blanchiment, leurs effets à long terme dans les économies en développement et les effets restrictifs en ce qui concerne l’inclusion financière, la population marginalisée dans les économies en développement et l’application des principes et lois de l’Union européenne (UE) sur la concurrence.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2019, 12, 19; 75-90
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Powrót do przedkryzysowej polityki pieniężnej a stabilność systemu finansowego
Autorzy:
Skibińska-Fabrowska, Ilona
Powiązania:
https://bibliotekanauki.pl/articles/629837.pdf
Data publikacji:
2017
Wydawca:
Szkoła Główna Handlowa w Warszawie
Tematy:
Monetary policy, Financial sustainability, Central banks, Balance sheets policy
Opis:
Faced with the financial crisis in 2008, the central banks used conventional monetary policy instruments. However, the problem of zero lower bond forced them to use unconventional monetary policy instruments - quantitative easing carried out as part of the so-called central bank balance sheet politics and relying on the buying by the central bank of di&erent kinds of financial assets - resulting in stabilization of the situation on financial markets in conditions of low long-term interest rates. Balance sheet totals of the central banks rose repeatedly. Their structure also changed. At present possible effects for the stability of the financial system of the return to the pre-crisis monetary policy are the topic of debate. The exit strategy is giving rise to a significant risks and the coordination of economic policy and the transparency of action taken by monetary authorities can only minimize possible negative effects
Źródło:
Kwartalnik Kolegium Ekonomiczno-Społecznego Studia i Prace; 2017, 1; 190-200
2082-0976
Pojawia się w:
Kwartalnik Kolegium Ekonomiczno-Społecznego Studia i Prace
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Review of the book entitled "THE EURO ZONE. BETWEEN SCEPTICISM AND REALISM" by Ryszard Kata, Magdalena Cyrek, Malgorzata Wosiek, Tomasz Potocki and Wladyslawa Jastrzebska, CeDeWu, Warsaw 2015, pp.210
Recenzja książki pt. "STREFA EURO. MIĘDZY SCEPTYCYZMEM A REALIZMEM", Ryszard Kata, Magdalena Cyrek, Małgorzata Wosiek, Tomasz Potocki and Władysława Jastrzębska, CeDeWu, Warszawa 2015, s.210
Autorzy:
Adamowicz, M.
Powiązania:
https://bibliotekanauki.pl/articles/2051983.pdf
Data publikacji:
2016
Wydawca:
Akademia Bialska Nauk Stosowanych im. Jana Pawła II w Białej Podlaskiej
Tematy:
book review
review
European Integration
European Union
Economic Union
Monetary Union
Member State
financial policy
socioeconomic effect
financial crisis
monetary policy
Źródło:
Economic and Regional Studies; 2016, 09, 3; 132-136
2083-3725
2451-182X
Pojawia się w:
Economic and Regional Studies
Dostawca treści:
Biblioteka Nauki
Artykuł

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