Read 49 publications, and contact Krzysztof Jajuga on ResearchGate, the nurtów rozważań dotyczących zarządzania ryzykiem instytucji finansowych, w tym. PDF | pełen tekst książki do pobrania ze strony Repozytorium Dorobku Naukowego Politechniki Warszawskiej Zarządzanie ryzykiem jest przedstawione zarówno w zakresie narzędzi zarządzania Krzysztof Jajuga at Wroclaw University of Economics.
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The authors shed new light on the problems of public finances in the member countries of the European Union. Data i godzina dostarczenia prezentu.
Ta pozycja nie ma jeszcze recenzji. The dissertation is a novel study on the Polish literature market. Fuzzy generalizations of some mathematical concepts are presented in the second krzsztof.
The essence of behavioural finance is presented in the first parts.
Public finances and the new economic governance in the European Union 1 ocena. This refers particularly to risk measures in which quantitative methods are applied. The specific experience of other Member States has also been taken into account while identifying the advantages and disadvantages of current fiscal consolidation strategies.
The impact of selected ryzykie, premises for imprecise estimation of expected return is described in the third part.
Public finances and the new economic governance in the European Union
Formal representation of human judgment,[ed. The impact of krzysztif financial crisis on the distribution of total power across the member states of the European Union. Reviewed book is the original, innovatory work which contributes to the development of finance science as well as macroeconomics.
The book is krzyeztof into five parts. In the fourth part are considered financial instruments under uncertainty and imprecision risk. Matematyczne i ekonometryczne metody oceny ryzyka finansowego, Wydawnictwa Naukowe Akademii Ekonomicznej w Katowicach, Katowice.
Zarządzanie ryzykiem prowadzące do minimalizacji ryzyka. | Welcome to ECON-IT2
Professor Krzysztof Maciej Piasecki. Past, Present and Future, Philosophical Transactions, The second criterion is the character of the risk variable, either discrete or continuous. Tversky A, Kahneman D,Availability: Zeszyty Naukowe Ryzzykiem Ekonomicznej S.
Disciplining public finances in Poland after launching the excessive deficit procedure in This work is an attempt to assess to what extent the new economic governance of the EU helped to discipline public finances in the member states. Case study on the assessment of disciplining public finances in the surveyed countries.
The third criterion makes ktzysztof distinction between high frequency, low severity events, corresponding to standard normal type of risk, and low frequency, high jajugaa events, corresponding to extreme risk.
A heuristic for judging frequency and probability, Cognitive Psychology 5. Analysis of the ranking of European countries by GDP per capita ratios in selected years.
Impact of pension reform on the condition of public finances in the period — Methods of examining the relationship between budget balance and macroeconomic variables. Finanse, Rynki Finansowe, Ubezpieczenia This book is useful reading for economists, financiers, political scientists, economic sociologists, students of economic studies, journalists, politicians and for all who are interested in economics and finance. Changes on the revenue side of government institutions sector and local government.
Moreover, the methods of disciplining public finances in Germany, Great Britain, Hungary and Poland have been thoroughly evaluated. The final part of the paper gives a synthetic discussion on model risk which is a risk resulting from the erratic model used in a real world.
prof. dr hab. Krzysztof Jajuga
In an interesting manner, it presents an important issue in terms of economy and state institutions, namely, public procurement. The poor institutional design of the EU, the authors point out, magnified the negative fiscal effects of the last financial crisis.
Information and Control, vol.