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Wyszukujesz frazę "sector analysis" wg kryterium: Temat


Tytuł:
Evaluation of economic potential of business environment development by comparing sector differences: perspective of SMEs in the Czech Republic and Slovakia
Autorzy:
Belas, Jaroslav
Gavurova, Beata
Cepel, Martin
Kubak, Matus
Powiązania:
https://bibliotekanauki.pl/articles/19233497.pdf
Data publikacji:
2020
Wydawca:
Instytut Badań Gospodarczych
Tematy:
business environment
business risks
business support
correspondence analysis
sector analysis
Opis:
Research background: Improving business conditions and SME development are signs of a country's macroeconomic stability. The issue of identifying and removing barriers to the development of firms in the SME segment is a priority in all countries with developed economies and its importance is currently increasing. Purpose of the article: The main aim of this paper is to explore possible differences in entrepreneurs' perception of the business environment based on the industry in which the company operates. The analysis contains also a national view, where a comparison between the Czech Republic and the Slovak Republic is performed. Methods: Correspondence analysis was used to achieve the research objectives in order to examine the relations between the categorical variables. Its application is beneficial in cases where the graphic output is clearer than the numerical one. Findings & Value added: The presented research makes it possible to identify problematic aspects of doing business in each sector and to create support mechanisms for the creation of effective structural policies. Entrepreneurs from the Czech Republic's Production and Transport sectors agree with the statement that the business environment in the country is suitable for starting a business. As for business environment's suitability for doing business, neither Slovak nor Czech entrepreneurs sector-wide agreed with the given statement. Czech entrepreneurs from the Services, Trade and Construction sectors, respectively, agree, fully agree with the statement that the business environment in the country is reasonably risky and allows for doing business. In the case of entrepreneurs from Slovakia, no significant correspondence is observed. Findings regarding the statement that the business conditions in the country have improved over the past five years are the following: In the Czech Republic, there is a perfect correspondence of the Transport sector and the agreement with the given statement. In the Slovak Republic, agreement was found with the given statement in the Transport sector and neutral position in the Production sector.
Źródło:
Oeconomia Copernicana; 2020, 11, 1; 135-159
2083-1277
Pojawia się w:
Oeconomia Copernicana
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Wpływ przeterminowanych należności na kondycję polskich przedsiębiorstw – analiza branżowa
Autorzy:
Dankiewicz, Robert Antoni
Powiązania:
https://bibliotekanauki.pl/articles/610267.pdf
Data publikacji:
2018
Wydawca:
Uniwersytet Marii Curie-Skłodowskiej. Wydawnictwo Uniwersytetu Marii Curie-Skłodowskiej
Tematy:
merchant credit
receivables structure
sector analysis
kredyt kupiecki
struktura należności
analiza branżowa
Opis:
The article deals with an analysis of the phenomenon and consequences of deferred payments in transactions between companies. It paid attention to the fact that the vast majority of entities are constantly exposed to the negative consequences of this phenomenon. In the content, an analysis of the current situation of enterprises and the impact of overdue receivables in key sectors of the Polish economy have been discussed. The position of entrepreneurs concerning payment delays and their causes has been presented. The issue of overdue receivables is discussed in the branch cross-section, taking into account the characteristics of particular sectors. The attention has been drawn to the fact that delinquent payments are one of the main causes of the financial troubles of businesses that may ultimately result in their bankruptcy. At the same time, it was signaled that the same phenomenon produces different consequences in different entities depending on their size.
Artykuł dotyczy analizy zjawiska i konsekwencji odroczonego terminu płatności w transakcjach między przedsiębiorstwami. Zwrócono uwagę na fakt, że zdecydowana większość podmiotów jest stale narażona na negatywne konsekwencje tego zjawiska. Ponadto dokonano analizy bieżącej sytuacji przedsiębiorstw i wpływu na nią przeterminowanych należności w kluczowych gałęziach polskiej gospodarki. Zaprezentowano stanowisko przedsiębiorców dotyczące opóźnień płatniczych oraz ich przyczyn. Omówiono problem przeterminowanych należności w przekroju branżowym, uwzględniając cechy charakterystyczne dla poszczególnych branż. Zwrócono uwagę na fakt, iż nieterminowe płatności stanowią jedną z podstawowych przyczyn kłopotów finansowych przedsiębiorstw, które w ostateczności mogą skutkować ich upadłością. Jednocześnie zasygnalizowano, że to samo zjawisko wywołuje różne konsekwencje w różnych podmiotach w zależności od ich wielkości.
Źródło:
Annales Universitatis Mariae Curie-Skłodowska, sectio H – Oeconomia; 2018, 52, 1
0459-9586
Pojawia się w:
Annales Universitatis Mariae Curie-Skłodowska, sectio H – Oeconomia
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The analyses of rural landscape with the use of historical materials on the examples of suburban villages of Wrocław
Analizy krajobrazu wsi z wykorzystaniem materiałów historycznych na przykładzie wsi podmiejskich Wrocławia
Autorzy:
Serafin, L.
Niedźwiecka-Filipiak, I.
Powiązania:
https://bibliotekanauki.pl/articles/1191233.pdf
Data publikacji:
2016
Wydawca:
Uniwersytet Przyrodniczy we Wrocławiu
Tematy:
krajobraz wiejski
analiza sektorowa
krajobraz
suburbia
rural landscape
sector analysis
landscape interiors
suburbs
Opis:
W ostatnich latach krajobraz wsi ulega intensywnym przemianom. Co zrobić, aby wieś zachowała tradycyjny charakter, jednocześnie spełniając współczesne standardy i zapewniając mieszkańcom odpowiednią jakość życia? To pytanie, na które szybko trzeba znaleźć odpowiedź. Ważne, aby nie zaprzepaścić i wykorzystać w przyszłych wizjach rozwoju zachowany jeszcze w wielu miejscach specyficzny krajobraz wiejski, stanowiący o różnorodności regionalnej. W podejmowaniu decyzji mogą być pomocne analizy wizualne miejscowości, porównywane z historycznymi materiałami kartograficznymi, ikonograficznymi i wspierane piśmiennictwem. Wszystkie te informacje pozwalają zrozumieć dawną wieś i jej potencjał tkwiący w krajobrazie. W artykule zaprezentowano próbę analiz krajobrazu wsi w tym kontekście na przykładzie miejscowości położonych w pobliżu Wrocławia.
Źródło:
Architektura Krajobrazu; 2016, 1; 4-27
1641-5159
Pojawia się w:
Architektura Krajobrazu
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Proponowana metoda SEKTOROWEJ ANALIZY wnętrz krajobrazowych jako integralna część opracowań dla programu Odnowa Wsi
Proposed method of Sector Analyses of landscape interiors as an integral part of elaboration for Village Renewal Program
Autorzy:
Niedźwiecka-Filipiak, I.
Powiązania:
https://bibliotekanauki.pl/articles/1186429.pdf
Data publikacji:
2005
Wydawca:
Uniwersytet Przyrodniczy we Wrocławiu
Tematy:
wieś
krajobraz wiejski
analiza sektorowa
Program Odnowy Wsi
village
rural landscape
sector analysis
Village Renewal Program
Opis:
Landscape perception and its valorization is not easy. Most of all we have to remember that the landscape is not only what we see but it also consists of a very important part which is overlooked. And it is connected with history, tradition, customs and also the needs of people who contributed to its present shape. These are also expectations which are a symptom of interest in the landscape, not only of the inhabitants of such a place, who play a part, but also expectations of local authorities who have enormous influence on it's shaping by making decisions which can irreversibly change the look of the space which surrounds us. The presented analyses of landscape interiors are a part of the elaboration performed within the limits of the program Village Renewal, and which aim at defining individual character of the place, searching for elements which identify the village and which can be its visiting card in future. In the presented elaboration an attempt has been made to estimate those elements, putting the main stress on the visual side of an analyze. For an open landscape, in which silhouette of the village is visible, analyzes varied a little to those created for interiors. The presented methods of analyzing landscape interiors and rural panoramas allow an exact estimation of chosen parts of the village from various angles. Stock-taking and analyzes run only in plans are not enough because of the lack of the fourth dimension, very important for formulating any conclusions and taking design decisions. It is important while dealing with defining new areas for inhabiting or service functions, but also while introducing singular elements. It considers not only building objects together with detail, colour or wall surface quality, but also greenery which can constitute a wonderful supplement to existing interiors. It is particularly important in the case of well preserved, former village sets, together with their unshaken panoramas and interior climate. The localization of new functions on the outskirts of these types of places should be precluded by serious analyze of results of such actions in panoramas and entrances to them, not only by economical prognosis.
Źródło:
Architektura Krajobrazu; 2005, 3-4; 11-17
1641-5159
Pojawia się w:
Architektura Krajobrazu
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Integrating general and local context-dependent factors into a framework for analysing business sectors in Bottom-of-the-Pyramid emerging markets
Autorzy:
Broeksma, Maaike
Pennink, Bart Jan Willem (Bartjan)
Powiązania:
https://bibliotekanauki.pl/articles/14123926.pdf
Data publikacji:
2021-06-21
Wydawca:
Wyższa Szkoła Bankowa we Wrocławiu
Tematy:
Bottom-of-the-Pyramid (BoP)
multinational enterprises (MNEs)
emerging markets
market entry
business sector analysis
context dependency
Opis:
Abstract: Aim: This paper investigates how a framework for analysing business sectors in emerging markets looks like when taking into account the local context-dependent and general factors of The Bottom-of-the-Pyramid (BoP). The BoP segment in emerging markets represents a major growth potential for firms, including multinational enterprises (MNEs) from developed countries. However, the continued lack of success of MNEs in these markets has shown that generic one-size-fits-all strategies for the BoP are not appropriate as BoP contexts differ between countries. Design / Research methods: The sample that was selected for the research includes two non-governmental organizations (NGOs) related to the BoP and eight managers at MNEs with activities in the BoP have been interviewed in a semi-structured manner to collect rich data. Conclusion / findings: By interviewing eight managers at MNEs with activities in the BoP and two NGOs related to the BoP, an additional analysis, BoP-orientation, and further extensions to the original analyses are being presented. This results in an advanced framework for analysing business sectors in emerging markets. Originality / value of the article: Current frameworks for analysing business sectors in emerging markets do take into account inter-country differences but fail to recognize intra-country differences, which causes them to fall short on their applicability to the BoP. This paper fills the gap how frameworks for analysing business sectors in emerging markets can be made applicable for the BoP by taking into account both the local context-dependent and general factors of a BoP-market to analyse it for opportunities, threats, and eventually and strategic entry mode.
Źródło:
Central European Review of Economics and Management; 2021, 5, 2; 85-118
2543-9472
Pojawia się w:
Central European Review of Economics and Management
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Digitalization of Enterprises in The Transport-Forwarding-Logistics (TFL) Sector In Poland
Cyfryzacja przedsiębiorstw w sektorze transport-spedycja-logistyka (TFL) w Polsce
Autorzy:
Heliosz, Patryk
Powiązania:
https://bibliotekanauki.pl/articles/35095259.pdf
Data publikacji:
2023
Wydawca:
Uniwersytet Gdański. Wydział Ekonomiczny
Tematy:
Digitalization
TFL sector
SWOT analysis
Opis:
Purpose. Digitalization has contributed to the dynamic development of both the private and professional lives of many people. The form of physical and virtual tools has brought huge benefits but also there have been some negative effects of transferring everyday affairs to virtual space. The aim of the article is to try to identify the structures of digitalization in the Polish TFL sector and to present the advantages, disadvantages, development opportunities and threats arising from the use of modern electronic infrastructure in the activities of TFL enterprises. Methodology. The study was carried out using the desk research method and in-depth interview. Using the first research technique an outline of the discussion was created and the structure of the vertical division of digitalization was identified. In-depth interviews with dozens of people performing various functions in the TFL sector allowed to increase the thematic scope with empirical data which allowed to characterize the horizontal structure. The results were condensed in the form of a SWOT analysis. Findings. The research confirmed the possibility of a two-structure approach to the digitalization of the TFL sector enterprises and that digitalization can have both positive and  negative impact on the activities of those enterprises.
Źródło:
Współczesna Gospodarka; 2023, 17, 2 (41); 107-115
2082-677X
Pojawia się w:
Współczesna Gospodarka
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
General bankruptcy prediction models for the Visegrád Group : the stability over time
Autorzy:
Tomczak, Sebastian Klaudiusz
Powiązania:
https://bibliotekanauki.pl/articles/29432382.pdf
Data publikacji:
2023
Wydawca:
Politechnika Wrocławska. Oficyna Wydawnicza Politechniki Wrocławskiej
Tematy:
SMEs
discriminant analysis
logit analysis
construction sector
stability of model
Opis:
Managers of enterprises must constantly face the continual changes on the market and fight for survival in a world of high competition. Therefore, it is important to systematically monitor the company’s financial condition. This will help to identify problems and give specific time to take corrective action. Bankruptcy prediction models are usually constructed for local goals. The purpose of the article is to build not only regional but also general discriminant and logit models for the SMEs operating in the construction industry in Visegrád Group countries. A total of 32 unique models were built and verified along with the Altman model for emerging markets. The paper also contributes to the literature by assessing the stability of the constructed models over time, which the models’ authors do not usually measure. The results showed that regional models are characterized by higher accuracy than general ones. However, general models can be adapted to the analyzed Visegrád Group with an accuracy of approximately 90%. The G1 LR model can be considered the best model, as it has relatively high accuracy and over-time stability.
Źródło:
Operations Research and Decisions; 2023, 33, 4; 171--187
2081-8858
2391-6060
Pojawia się w:
Operations Research and Decisions
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The Funding of Modernization and Development of Transport Sector and its Infrastructure
Autorzy:
Nykyforuk, Olena
Powiązania:
https://bibliotekanauki.pl/articles/488994.pdf
Data publikacji:
2014
Wydawca:
Instytut Badań Gospodarczych
Tematy:
investment analysis
funding
modernization
transport sector
infrastructure
Opis:
The main purpose of the article is to analyze the existing approaches to the financing of transport infrastructure in the world and in Ukraine. It has been studied the model of financing of transport infrastructure in the OECD, the EU countries. The appropriate recommendations has been given to strengthen the processes of modernization in the transport infrastructure.
Źródło:
Oeconomia Copernicana; 2014, 5, 4; 117-138
2083-1277
Pojawia się w:
Oeconomia Copernicana
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Analysis Of The Polish Economy 2010-2017
Autorzy:
Ogłozińska, Ewa
Świeboda, Wioletta
George-Nwaeke, Collettee
Powiązania:
https://bibliotekanauki.pl/articles/476297.pdf
Data publikacji:
2018
Wydawca:
Wyższa Szkoła Ekonomiczno-Humanistyczna w Bielsku-Białej
Tematy:
Polish economy
analysis of economy
public sector
banking sector
financial market
tax
Opis:
Poland officially known as the Republic of Poland is a rapidly developing economy in Central Europe. Poland is also a parliamentary republic with a head of government – the prime minister - and the head of state - the president. The country is divided into 16 provinces and its governmental structure is centred on the council of ministers. Throughout this paper, key subheadings would be analysed in order to give the readers an insight into the situation in the Polish market. The applied research methods involve a review of legal acts and literature on the subject.
Źródło:
MIND Journal; 2018, 6; 1-16
2451-4454
Pojawia się w:
MIND Journal
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Analiza taksonomiczna w zastosowaniu do badań koniunktury budownictwa
Taxonomic Analysis of Economic Situation in Construction Industry
Autorzy:
Marcinkowska-Lewandowska, Wanda
Powiązania:
https://bibliotekanauki.pl/articles/500640.pdf
Data publikacji:
1998
Wydawca:
Szkoła Główna Handlowa w Warszawie
Tematy:
Koniunktura gospodarcza, Budownictwo, Metody statystyczne, Metody ekonometryczne, Analiza taksonomiczna
Business trends, Construction sector, Statistical methods, Econometric methodology, Taxonomic analysis
Opis:
This chapter contains analysis of questionnaires data base which was built by selecting one of several qualitative characteristics formulated with relation to each of the issues included in the questionnaire. The subject of examination is a set of multi- profile elements. In the initial part of the chapter, a method of division of such a set of objects into subsets including similar objects has been presented. Similarity of the objects is the basis for describing a function of distance between them. Then, by analyzing values of distance function, the entire set is divided into clusters. Research premise is executed in two sections. By calculating the distance between characteristics of analyzed phenomenon, which are represented by items in the questionnaire, a group of similar features - or lack of relationship between features - are determined. Second facet of the analysis consists in determining the distances of multi-profile objects from fixed standards, and division of the set of objects into homogenous layers. In paragraphs that follow, results of research conducted using the above method, and concerning changes in economic situation of Polish construction industry in 1993 - 1997 are shown. On the basis of the questionnaire data from the Institute of Economic Development and obtained from construction enterprises, mutual relationships between measures of economic situation have been examined. Moreover, changes in economic situation of construction enterprises in comparison to their distance from standards of economic situation have been analyzed, both in the entire population of enterprises and in two sectors of construction industry: private and public.
Źródło:
Prace i Materiały Instytutu Rozwoju Gospodarczego SGH; 1998, 60; 129-150
0866-9503
Pojawia się w:
Prace i Materiały Instytutu Rozwoju Gospodarczego SGH
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
EVA as a Tool for Estimation of Management Eciency and Value Creation in Polish Telecom Sector
Autorzy:
Kamieniecki, W.
Powiązania:
https://bibliotekanauki.pl/articles/307818.pdf
Data publikacji:
2016
Wydawca:
Instytut Łączności - Państwowy Instytut Badawczy
Tematy:
Economic Value Added
empirical study
statistical analysis
telecom sector
Opis:
The paper presents results of empirical study on creation of added value in Polish telecom sector, based on Economic Value Added (EVA) indicator. First, an EVA analysis was performed for publicly traded telecom companies. Next, the e ectiveness of EVA itself in management of telecom companies was evaluated. A statistical analysis was made to investigate dependence between EVA and other indicators of company value, confirming that EVA sign and magnitude are in agreement with indicators based on data from financial books. Finally, the eff ectiveness of using EVA for prediction of market capitalization of telecom companies was investigated. Overall results do not give a clear picture and cannot allow to state that EVA is a better determinant of value of telecom company than financial indicators like Earnings Per Share (EPS).
Źródło:
Journal of Telecommunications and Information Technology; 2016, 4; 31-38
1509-4553
1899-8852
Pojawia się w:
Journal of Telecommunications and Information Technology
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Evaluating the nexus between financial deepening and economic growth: evidence from Ukraine
Autorzy:
Kondrat, Iryna
Kots, Olha
Powiązania:
https://bibliotekanauki.pl/articles/949679.pdf
Data publikacji:
2018
Wydawca:
Wydawnictwo Uniwersytetu Ekonomicznego we Wrocławiu
Tematy:
financial deepening
economic growth
banking sector
multiple regression analysis
Opis:
In this paper systemic problems of Ukrainian banking sector are reviewed and the solutions are offered. The main objective of the study is to examine the relationship between a financial deepening and economic growth in Ukraine by estimating several multiple regression models over the 1993 to 2015 period. A real GDP growth per capita was used as an indicator for the economic growth. The domestic credit to private sector (% of GDP) was used as an index of financial depth. The study concludes that financial deepening causes a slight impact on the economic growth of Ukraine. A low level of impact is an indicator of a limitedness of lending to the real economy. This means that banking sector has not become the real driving force of the economic growth in Ukraine yet. The study suggests a statement that policy makers should design the policies which will encourage lending especially high tech production, small and mid-size business, micro financing to the real economy to promote economic growth and increase employment.
Źródło:
Financial Sciences. Nauki o Finansach; 2018, 23, 1; 49-64
2080-5993
2449-9811
Pojawia się w:
Financial Sciences. Nauki o Finansach
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The relationship between profitability and financial liquidity among the importers of best-selling brands of new cars in poland
Autorzy:
Łojek, Paweł
Powiązania:
https://bibliotekanauki.pl/articles/1356367.pdf
Data publikacji:
2020-10-23
Wydawca:
Uniwersytet Warszawski. Wydział Nauk Ekonomicznych
Tematy:
financial liquidity
automotive sector
cash flow statement
ratio analysis
Opis:
The automotive industry is a particularly sensitive sector of the economy. Numerous legal changes have been introduced in Poland that may affect the company's liquidity and profitability. Sales of new vehicles in Poland were very high until the end of 2019. I have presented the most recently available financial data, and hence it can be concluded that they are not distorted. The article discusses the issue of cash flow statements and the associated financial ratios, as well as assesses the financial liquidity among the importers of new, ten best-selling car makers in Poland between 2015 and 2019. Moreover, I have analysed the relationship between profitability ratios and liquidity ratios as well as cash adequacy ratios during this period. According to my findings, in most cases, there is a positive and strong relationship between profitability and financial liquidity in the automotive industry.
Źródło:
Central European Economic Journal; 2020, 7, 54; 127 - 142
2543-6821
Pojawia się w:
Central European Economic Journal
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Explaining The Prevalence Of The Informal Economy In The Baltics: An Institutional Asymmetry Perspective1
Autorzy:
Williams, Colin C
Horodnic, Ioana A
Powiązania:
https://bibliotekanauki.pl/articles/623583.pdf
Data publikacji:
2016-01-06
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
informal sector
tax morale
social contract
institutional analysis
Baltics
Opis:
Reporting a 2013 Eurobarometer survey of participation in the informal economy across eight Baltic countries, this paper tentatively explains the informal economy from an institutional perspective as associated with the asymmetry between the codified laws and regulations of the formal institutions (state morality) and the norms, values and beliefs of citizens (civic morality). Identifying that this non-alignment of civic morality with the formal rules is more acute when there is greater poverty and inequality, less effective redistribution and lower levels of state intervention in the labour market and welfare, the implications for theorising and tackling the informal economy are then discussed.
Źródło:
European Spatial Research and Policy; 2015, 22, 2
1231-1952
1896-1525
Pojawia się w:
European Spatial Research and Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Spatial shift-share analysis as a health policy tool
Autorzy:
Jewczak, Maciej
Żółtaszek, Agata
Powiązania:
https://bibliotekanauki.pl/articles/657608.pdf
Data publikacji:
2011
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
spatial shift-share analysis
health care sector
regional diversification
Opis:
Issues related to the functioning of the healthcare sector always result in turbulent and endless discussions. Most of those voices concern: the reduction of costs, spending on healthcare, walk outs, multi-occupation of medical staff, operating and health sector entities’ debts. The criteria of economic analysis in the health sector require to look at the activities of medical units, from the perspective of the society and its char- acteristics that determine them, and taking into account the effects connected with the geographic diversification of the management, financing and organization of the health- care system. The aim of this paper is to apply the spatial shift-share methods that are based on information about of the structural changes of economic and social phenomena, developed in geographic space, within a specified period of time, to analyze the state of the health sector. The attempt to identify regional trends in the health care sector, depending on the sector's major characteristics, will be made. The analysis also aims to identify areas and determinants of health care sector that may play a key role in specialization and the development of the regions.
Źródło:
Acta Universitatis Lodziensis. Folia Oeconomica; 2011, 252
0208-6018
2353-7663
Pojawia się w:
Acta Universitatis Lodziensis. Folia Oeconomica
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Application Of Input-Output Analysis In The Health Care
Autorzy:
Jewczak, Maciej
Suchecka, Jadwiga
Powiązania:
https://bibliotekanauki.pl/articles/633103.pdf
Data publikacji:
2014-12-01
Wydawca:
Uniwersytet Łódzki. Wydawnictwo Uniwersytetu Łódzkiego
Tematy:
input-output models
the health sector
the analysis of flows
Opis:
Usage of the economic analysis in the study of the performance of health care system does not surprise anyone nowadays. Trends that are drawn over the years fluctuate from the technology assessment of health programs - in terms of efficiency, costs or utility for patients, through methods to establishing copayment for health services and the demand for medical services. Much of the interest is devoted to analysis of the shape of the health care system: the amount of contributions to the National Health Fund, the managing the system, both at the micro and macro level, or restructuring. Any method that allows to show dependencies, identify weaknesses/strengths of the health care system is appreciated by health policy makers. The aim of this article is an attempt of the use of models of input-output type in the analysis of the performance of the health care sector in Poland. The construction of input-output model is based on the observed data for the specified, variously defined area - it may concern: country, region, municipality, etc., hence with the appropriate designed database, it may be possible to examine the flow of health benefits - for example, expressed in zlotys. Part of the article is dedicated to theoretical aspects of the input-output models and the problems this usage can cause.
Źródło:
Comparative Economic Research. Central and Eastern Europe; 2014, 17, 4; 87-104
1508-2008
2082-6737
Pojawia się w:
Comparative Economic Research. Central and Eastern Europe
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Mathematical modeling and spatial analysis of emission processes in Polish industry sector: cement, lime and glass production
Autorzy:
Charkovska, N
Bun, R.
Nahorski, Z.
Horabik, J.
Powiązania:
https://bibliotekanauki.pl/articles/972929.pdf
Data publikacji:
2012
Wydawca:
Polska Akademia Nauk. Oddział w Lublinie PAN
Tematy:
mathematical modeling
spatial analysis
GHG emissions
mineral products
industrial sector
Opis:
The main GHG emission sources in IPCC subsector Mineral Products of Industrial Processes sector In Poland are analyzed, using the developed mathematical models and program tools for emission assesment in production of cement, lime and glass. Results of spatial analysis are presented as digital maps at the levels of particular plants and whole voivodeships.
Źródło:
ECONTECHMOD : An International Quarterly Journal on Economics of Technology and Modelling Processes; 2012, 1, 4; 17-22
2084-5715
Pojawia się w:
ECONTECHMOD : An International Quarterly Journal on Economics of Technology and Modelling Processes
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Analysis of sources of information about the accidents and incidents potentially dangerous to the marine exploratory – mining industry
Autorzy:
Głogowski, P.
Igielski, K.
Orymowska, J.
Pilip, K.
Powiązania:
https://bibliotekanauki.pl/articles/135118.pdf
Data publikacji:
2017
Wydawca:
Akademia Morska w Szczecinie. Wydawnictwo AMSz
Tematy:
safety
sources of information
risk analysis
offshore sector
databases
operational threats
Opis:
Accidents, breakdowns or incidents threatening both human life and the environment are inherent parts in operating in the offshore sector. Regular monitoring and analysis of all kinds of events are important to isolate the most common and dangerous ones, to be able to prevent them in the future. The article summarizes the sources containing information regarding accidents occurred in the maritime offshore sector. Due to their widespread and easy access, the article is focused on electronically published databases and safety reports concerning the risk and dangers related to the implementation of marine exploration – mining projects. Based on these data, the authors made analyses, presented statistics and proposed ways to minimize threats in the offshore sector of the marine industry.
Źródło:
Zeszyty Naukowe Akademii Morskiej w Szczecinie; 2017, 49 (121); 103-109
1733-8670
2392-0378
Pojawia się w:
Zeszyty Naukowe Akademii Morskiej w Szczecinie
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Innovative approaches towards the analysis of the dependence of production efficiency on the parameters of agricultural enterprises land use
Autorzy:
Smolinskyy, V.
Smolinska, S.
Homka, Z.
Powiązania:
https://bibliotekanauki.pl/articles/411251.pdf
Data publikacji:
2014
Wydawca:
Polska Akademia Nauk. Oddział w Lublinie PAN
Tematy:
agricultural enterprises
agrarian sector of economy
efficiency
land use
statistic analysis
Opis:
The efficiency of production of agricultural enterprise in the Carpathian region of Ukraine is provided in the article. The main indicators of agricultural enterprises efficiency in the Carpathian region of Ukraine and in Ukraine are done. The evaluation of the efficiency of land use by the enterprises is separately analyzed on the basis of the analysis of gross output per unit of agricultural land. With the help of software the efficiency dependence from the parameters of land use by agricultural enterprises of Carpathian region is analyzed. Proved that the cause of the low efficiency of agricultural enterprises activity is their lack of land.
Źródło:
ECONTECHMOD : An International Quarterly Journal on Economics of Technology and Modelling Processes; 2014, 3, 4; 39-43
2084-5715
Pojawia się w:
ECONTECHMOD : An International Quarterly Journal on Economics of Technology and Modelling Processes
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The Lithuanian Government’s Policy of Regulatory Impact Assessment
Autorzy:
Dvorak, Jaroslav
Powiązania:
https://bibliotekanauki.pl/articles/417358.pdf
Data publikacji:
2015-06-15
Wydawca:
Akademia Leona Koźmińskiego w Warszawie
Tematy:
regulatory impact assessment
Lithuania
cost benefit analysis
public administration
public sector
Opis:
Purpose: This paper critically evaluates the development of the impact assessment instrument in Lithuania’s public administration and suggests improvements to its impact assessment system. Research question: What interesting conceptual imperatives have appeared in Lithuania’s investigation of the impact of regulatory policy? Methodology: This research study uses positivist methodology to analyse the problems that researchers have identified in Lithuania’s impact assessment. This investigation explains why certain problems have appeared, what has changed and what system changes can be identified traced. The study proceeds as follows. First, the research on impact assessment carried out in Lithuania is analysed. Second, regulations on impact assessment in Lithuania are investigated. A substitute for non-existent integrated theory is emphased by the logical structure of the EU administrative system imperatives, principles, and norms, whose modifications have become the basis of impact assessment system design in Lithuania. The present research combines, integrates and consolidates the theoretical and practical information on impact assessment into an explanatory scheme, which could be developed into a model in the future. Information from two qualitative interviews conducted in 2009 and 2010 was also used. Conclusions: The present research reveals that Lithuania’s regulatory impact assessment model is still being constructed and reconstructed towards evidence-based management. A model which revises the old impact stereotype has been designed, based on contemporary methodologies (cost--benefit and cost-effectiveness analyses), consultations with the interested parties, a small but exhaustive legal initiatives impact assessment, and a centralised and institutional coordination of impact assessment. Practical consequences: The present research presents the issues which could be useful for the states that are starting to implement a regulatory impact assessment model. This study described the pitfalls to avoid in order to implement a successful evidence-based management initiative. Originality: In the present research, regulatory impact assessment is emphased as an assessment model and normative of the EU administration effectiveness and optimality, which can be used as a good-practice example for the modernisation of administrative activities in Central and Eastern Europe to the level their European counterparts.
Źródło:
Management and Business Administration. Central Europe; 2015, 2; 129-146
2084-3356
Pojawia się w:
Management and Business Administration. Central Europe
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Effects of bank-specific factors on the net interest margin of working banks in Palestine
Autorzy:
Asmar, Muath
Powiązania:
https://bibliotekanauki.pl/articles/522350.pdf
Data publikacji:
2018
Wydawca:
Uniwersytet Ekonomiczny w Katowicach
Tematy:
Banking sector
Financial intermediation
Net interest margin
Palestine
Panel regression analysis
Opis:
Aim/purpose – The main purpose of the study is to investigate the bank-specific factors that influence the net interest margin of banks in Palestine. Design/methodology/approach – An econometric model using random effect panel regression was used to estimate data for all 17 working banks from 2006 to 2016. Findings – Result indicates that several factors, including credit risk, risk aversion, bank orientation, and foreign banks, have statisti cally significant effects on the net interest margin. However, results also show that su ch factors as operating expenses, management efficiency, Islamic bank, and time trend are not statistically significant. Research implications/limitations – The main policy lesson drawn from this study is that the net interest margin of working bank s in Palestine could be further enhanced by formulating regulatory policies regarding bank-specific factors, such as credit risk, risk aversion, bank orientation, and foreign ba nks. The most significant limitation of the study was the availability of data. Despite th e fact that several bank-specific factors were identified in the literature as a determinan t of the net interest margin, only the factors that have an available data were used in the study. Originality/value/contribution – The results of research introduced in the study make theoretical and practical contributions to th e body of knowledge. It fills the gap related to the bank-specific factors that influence the net interest margin of banks in Palestine, which have specific conditions and atypical situation.
Źródło:
Journal of Economics and Management; 2018, 33; 5-24
1732-1948
Pojawia się w:
Journal of Economics and Management
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The current state of scientific research of the process of risk management of Ukrainian energy sector enterprises
Autorzy:
Kuzior, Aleksandra
Babenko, Vitalina
Rekunenko, Іhor
Pohodenko, Borys
Powiązania:
https://bibliotekanauki.pl/articles/27315557.pdf
Data publikacji:
2023
Wydawca:
STE GROUP
Tematy:
risk management
energy sector
sustainable development
risk management methods
risk analysis
Opis:
The research dedicated to risk management issues in the energy sector addresses current problems associated with risk management that arise in the energy sector. The aim of the study was to identify factors that affect risks, analyze scientific risk management methods, and consider innovative approaches to risk management in the energy sector. The study used a critical analysis of the literature on the subject as well as an analysis of risk management standards and methods. The innovation of the research lies in its consideration of modern trends in risk management in the energy sector, taking into account changing economic and political conditions, technical possibilities, as well as social attitudes and demands. The study showed that the most effective approach to risk management in the energy sector is the use of an integrated risk management system that takes into account all aspects of enterprise activity. The results of the study can be useful for energy companies that deal with risk management. They can be used to improve risk management strategies and reduce the possibility of negative consequences. In addition, this research can be used for educational purposes for students and professors who study risk management and the energy sector. The next steps of the research may include expanding the scope of the study to other areas and developing more detailed risk management models.
Źródło:
Management Systems in Production Engineering; 2023, 3 (31); 322--331
2299-0461
Pojawia się w:
Management Systems in Production Engineering
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Issledowanie ehnergitecheskikh vozmozhnostejj Ukrainy v ramkakh Tamozhennogo Sojuza
Energy research opportunities Ukraine under Customs Union
Autorzy:
Ogienko, A.
Shtepa, E.
Ogienko, N.
Powiązania:
https://bibliotekanauki.pl/articles/77613.pdf
Data publikacji:
2013
Wydawca:
Komisja Motoryzacji i Energetyki Rolnictwa
Tematy:
customs union
Ukraine
energy sector
export
export potential
transport infrastructure
analysis
Opis:
The paper presents an analysis of power relations between Ukraine and the Customs Union member states. Past studies found that increasing the export potential of Ukraine's energy sector depends on the restriction of the transport and port infrastructure, power, energy islands or the imperative of using inserts DC to export electricity-shku excess energy in the domestic market and favorable conjuncture for external- sized markets.
Źródło:
Motrol. Motoryzacja i Energetyka Rolnictwa; 2013, 15, 2
1730-8658
Pojawia się w:
Motrol. Motoryzacja i Energetyka Rolnictwa
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Resistance of commercial banks to the crisis caused by the COVID-19 pandemic: the case of Poland
Autorzy:
Korzeb, Zbigniew
Niedziółka, Paweł
Powiązania:
https://bibliotekanauki.pl/articles/22444424.pdf
Data publikacji:
2020
Wydawca:
Instytut Badań Gospodarczych
Tematy:
banking sector
commercial banks
banking crises
COVID-19
multi-dimensional comparative analysis
Opis:
Research background: The analysis allows to assess the impact of the industry structure of the credit portfolio on the resistance of commercial banks to the crisis resulting from the COVID-19 pandemic. It uses two independent methods to measure the impact of the pandemic on industry risk and the methodology allowing to prioritize industries in terms of potential negative effects of the crisis. Purpose of the article: The aim of the research is to assess the resilience of commercial banks operating in the Polish banking sector to the potential effects caused by the COVID-19 pandemic. The diagnostic features of 13 commercial banks were selected for its implementation. Methods: Two linear ordering methods were used, namely the Hellwig method and the TOPSIS method. The following were used as the criteria for parametric assessment of the resilience of commercial banks: capital adequacy, liquidity level, profitability of business activity, share in the portfolio of exposures with recognized impairment and the resilience of the bank's credit portfolio to the risk resulting from the exposure in economic sectors. These sectors were classified according to the level of risk associated with the effects of the crisis caused by the COVID-19 pandemic. Findings & Value added: The study allows to conclude that the largest banks conducting their operations in Poland are the most resistant ones to the consequences of the pandemic. At the same time, the banks most vulnerable due to the crisis were identified. The conclusions can be used, inter alia, in the process of managing the financial system stability risk and contribute to the discussion on the impact of the pandemic on the condition of commercial banks in emerging markets.
Źródło:
Equilibrium. Quarterly Journal of Economics and Economic Policy; 2020, 15, 2; 205-234
1689-765X
2353-3293
Pojawia się w:
Equilibrium. Quarterly Journal of Economics and Economic Policy
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The Effect of Recent Changes in Foreign Banks Behavior on Banking Sector Concentration - First Evidence from 53 Countries
Autorzy:
Hryckiewicz-Gontarczyk, Aneta
Wierusz-Wróbel, Joanna
Powiązania:
https://bibliotekanauki.pl/articles/485416.pdf
Data publikacji:
2015
Wydawca:
Bankowy Fundusz Gwarancyjny
Tematy:
Banking sector
Foreign bank
Concentration
Financial sustainability
Literature review
Comparative spatial analysis
Opis:
The aim of this paper is to assess the impact of foreign banks’ withdrawals on banking sector concentration. The past decade has been characterized by large scale foreign bank withdrawals from countries where these institutions represent a significant part of the banking sector. An empirical analysis has been conducted for the banking sectors of 53 countries over the period 1997 to 2008. The major finding is that the foreign banks’ withdrawals are positively correlated with banking concentration. The greatest magnitude of the effect can be seen with respect to the deposit market. Surprisingly, however, we do not notice any greater effect of acquisition of divested banks on banking sector concentration as compared to other forms of withdrawals. This might suggest a tendency to split up banking operations among many market players.
Źródło:
Bezpieczny Bank; 2015, 2 (59); 47-76
1429-2939
Pojawia się w:
Bezpieczny Bank
Dostawca treści:
Biblioteka Nauki
Artykuł

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