Buch, Englisch, 448 Seiten, HC runder Rücken kaschiert, Format (B × H): 153 mm x 216 mm, Gewicht: 7072 g
Buch, Englisch, 448 Seiten, HC runder Rücken kaschiert, Format (B × H): 153 mm x 216 mm, Gewicht: 7072 g
ISBN: 978-3-319-30876-0
Verlag: Springer International Publishing
Zielgruppe
Research
Autoren/Hrsg.
Fachgebiete
Weitere Infos & Material
Chapter 1)
What Does Risk Management in an Economy Really Mean?; Konrad Raczkowski, Piotr Tworek.- Chapter 2) Elimination of
Exchange Rate Risk in TTIP By Inclusion of a Clause Linking the Dollar and
Euro; Katarzyna Zukrowska.- Chapter
3) The Effect of Countries’ Credit Ratings on Credit Default Swap Spreads; Patrycja Chodnicka.- Chapter 4) Risk
Analysis Instrument of Public Management; Marta
Postula.- Chapter 5) Multidimensionality of Risk in Public Safety
Management Processes; Barbara Kozuch, Katarzyna Sienkiewicz-Malyjurek.- Chapter 6) The Early
Warning Concept in Identifying Risks in Business Activity; Katarzyna Dohn, Wojciech Zolenski, Adam Guminski.- Chapter 7) Risk Perception in the Activity
of Social Enterprises; Martyna
Wronka-Pospiech, Aldona Fraczkiewicz-Wronka, Konrad Laska.- Chapter 8) Identification of Risks Related
to Operations on the Internet; Sylwia Wojciechowska-Filipek, Zbigniew
Ciekanowski.- Chapter
9) Intellectual Capital Risk Management for Knowledge-Based Organizations; Jolanta Jurczak.- Chapter 10) Regulatory Risk in the EU Banking Sector; Stanislaw
Kasiewicz, Lech Kurklinski.- Chapter 11) The Financial Distress of Public
Sector Entities: Causes and Risk Factors;
Magdalena Ziolo, Malgorzata Porada-Rochon, Elzbieta Szaruga.- Chapter 12) Impact of
Insurance Companies’ Investment Policy
on Risk Management in the Public Sector; Teresa Czerwinska.-
Chapter 13) Personal Income Tax and the Risk of Revenue Fluctuations in the European Union; Bogdan Mróz, Mariusz Sokolek.- Chapter 14) VAT Fraud in Selected
European Union Countries and its Possible Macroeconomic Implications; Czeslaw Jedrzejek.