Volume 13, Issue 55 (2015)
Articles - original research papers
The Paradigm of Finance and New Risks as Drivers of Systemic Risk
Tomasz Michalski and Adam Śliwiński
The Impact of Systemic Liquidity Risk on Stability of the Polish Economy
Jerzy Piotr Gwizdała
Systemic Risk Management. Cognitive Perspective
Jan K Solarz
Probabilistic aspects of risk management
Mirosław Szreder
The Principle of Proportionality as a Tool to Support the Economic Policy of the European Union and Poland for Financial Markets
Stanisław Kasiewicz and Lech Kurkliński
Analysis of Factors Affecting the Stability of Cooperative Banks in the Post-Crisis Period
Krzysztof Kil and Ewa Miklaszewska
The Impact of the New Resolution Regime on Public Support to Banks
Agnieszka Trzcińska
The Stability of Bank Deposits of Communes in Poland
Paweł Galiński
Feedbacks and Systematic Risk of Denominated Debt in Poland
Ireneusz Dąbrowski
Financial Risk in Polish Companies During the Global Economic Crisis of 2007–2008 with Particular Emphasis on Evaluation of the Use of Reserve Debt Capacity
Wiktor Cwynar, Anna Ostrowska-Dankiewicz, and Piotr Oratowski
The Cost of Debt and Country’s Credit Rating
Patrycja Chodnicka and Katarzyna Niewińska