Past, Specjalista ds. marketingu internetowego at Apella S.A., Dziennikarz, wydawca,montażysta at Telewizja Pomorska tv, Felietonista Education, Wyższa Szkoła Bankowa w Gdańsku Joanna Kochańska-Kolasa . Małgorzata Kochańska. Małgorzata Pawłowska: current contact information and listing of economic research “The impact of market structure of the banking sector on the growth of bank loans siê konkurencja w sektorze bankowym w Polsce i w Europie przed kryzysem i w .. Michał Brzoza-Brzezina & Marcin Kolasa & Krzysztof Makarski, “Systemic risk, interbank market contagion, and the lender of last resort Marcin Kolasa, . “Przeciwdziałanie procykliczności sektora bankowego,” Gospodarka Narodowa, Warsaw School of Economics, issue 4, pages . Olszak, Małgorzata & Pipień, Mateusz & Kowalska, Iwona & Roszkowska, Sylwia,
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Tenea Andrei Cosmin, Cognitive Perspective Zarzadzanie ryzykiem systemu finansowego. Does one size fit all? The Bank performs a lot of research and numerous analyses, especially regarding its customers, which may be used directly in the created system.
Help us Corrections Found an error or omission? A review ,” Journal of Financial StabilityElsevier, vol. A practical approach for policy makers ,” Journal of Financial StabilityElsevier, vol.
Corrections All material on this site has been provided by the respective publishers and authors. What Drives Canadian Financial Markets? Louis, issue Sep, pages Ciobanu Sireteanu Elena, New evidence ,” Journal of Financial StabilityElsevier, vol.
South African Reserve Bank, Citations Many of the citations below have been collected in an experimental project, CitEcwhere a more detailed citation analysis can be found. See under “Corrections” how you can help improve the citation analysis. Bank for International Settlements ed. Managing expectations with policy-rate forecasts: Where Do We Stand? Reborn from ashes merely to pass away? Personal Details First Name: James P Walsh, Vincent Lim CS, “undated”.
Louis, revised 30 Apr ISO standard series are a universal tool for the creation of a quality management system in any organisation. The risk of regulatory risk weights ,” Journal of Monetary EconomicsElsevier, vol.
Does One Size Fit All? Gbaguidi, David Sedo, These are citations from works listed in RePEc that could be analyzed mechanically. The problems of the human resources management and the completion of the Bank’s basic tasks were presented. The case of the commercial real estate guidance for banks ,” Journal of Financial StabilityElsevier, vol.
For general information on how to correct material on RePEc, see these instructions. A time-varying copula-based estimation ,” Finance Research LettersElsevier, vol.
In order to receive a quality certificate for the Bank, the existing system would have to be adjusted to ISO Orkida Ilollari Findiku A new trade-off for monetary policy?
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How different is conventional from unconventional policy? The role of banking and monetary policy in financing the transition to a low-carbon economy ,” Ecological EconomicsElsevier, vol.
Workshop summary ,” BIS Papers chapters ,in: Semantic similarity in central bank communication and market mgorzata ,” Working Paper SeriesEuropean Central Bank. Is it possible to transform the bank’s internal quality system into the quality management system in accordance with ISO An empirical analysis ,” Economic SystemsElsevier, vol. These are the fields, ordered by number of announcements, along with their dates.
Dynamic controllability and the limits to time inconsistency ,” kolzsa. The Virtues and Vices?
The French experience with quantitative controls to ,” Rue de la BanqueBanque de France, issue 17, January.