Volume 2 (16) Number 3
Contents:
editorial |
A word from the Editor |
Dorota Appenzeller |
Economics and Business Review 2016; 16(3); 3-5 |
full text |
original article |
From duration analysis to GARCH models – An approach to systematization of quantitative methods in risk measurement |
Krzysztof Jajuga |
Economics and Business Review 2016; 16(3); 7-19 |
abstract full text |
|
Credit markets and bubbles: is the benign credit cycle over? |
Edward I. Altman, Brenda J. Kuehne |
Economics and Business Review 2016; 16(3); 20-31 |
abstract full text |
|
Bipolar growth model with investment flows |
Katarzyna Filipowicz, Tomasz Misiak, Tomasz Tokarski |
Economics and Business Review 2016; 16(3); 32-56 |
abstract full text |
original article |
Twitter and the US stock market: The influence of micro‑bloggers on share prices |
Karl Shutes, Karen McGrath, Piotr Lis, Robert Riegler |
Economics and Business Review 2016; 16(3); 57-77 |
abstract full text |
|
Can we invest on the basis of equity risk premia and risk factors from multi-factor models? |
Paweł Sakowski, Robert Ślepaczuk, Mateusz Wywiał |
Economics and Business Review 2016; 16(3); 78-98 |
abstract full text |
original article |
Quantifying wage effects of offshoring: import- versus export-based measures of production fragmentation |
Joanna Wolszczak-Derlacz, Aleksandra Parteka |
Economics and Business Review 2016; 16(3); 99-120 |
abstract full text |
|
Simple four-step procedure of parabolic B curve determination for OECD countries in 1990Q1–2015Q4 |
Dariusz Błaszczuk |
Economics and Business Review 2016; 16(3); 121-137 |
abstract full text |
book review |
Book review: Jerzy Witold Wisniewski, Microeconometrics in Business Management, John Wiley & Sons, United Kingdom 2016 |
Dorota Appenzeller |
Economics and Business Review 2016; 16(3); 138-140 |
abstract full text |
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