Volume 15, Issue 66 (2017)
Articles - original research papers
Management of Reputational Risk: Problems with Definition and Measurement
Ewa Miklaszewska and Krzysztof Kil
Do Microprudential Regulations and Supervision Affect the Link Between Lending and Capital Ratio in Economic Downturns of Large Banks in the EU?
Małgorzata Olszak, Sylwia Roszkowska, and Iwona Kowalska
The Boundaries of Household Deposit Stability – Regulatory Assessment
Katarzyna Kochaniak
Effect of Structural Liquidity on Profitability of Polish Commercial Banks in 2009–2016
Agnieszka Wójcik-Mazur
Issuer- and Investor-Paid Credit Ratings – A Comparison of Factors
Patrycja Chodnicka-Jaworska
Environmental Risk Management and Its Importance for the Stability of the Banking Sector
Magdalena Zioło
Price Volatility in the Commodity Market and the Bank’s Risk
Bogdan Włodarczyk
Bayes Belief Network as an Operational Risk Management Tool for Banks
Dominika Gadowska-dos Santos
Panel Verification of the Impact of Macroeconomic Variables on Stock Market Indices
Hubert Wiśniewski