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Patrycja Chodnicka-Jaworska

Katedra
Katedra Systemów Finansowych Gospodarki
Zakład
Pracownia Bankowości i Rynków Pieniężnych
Dyżur
B307 Sem. zimowy 2022/23 - informacje w ogłoszeniach wykładowcy
Telefon
22/ 55 34 150

 

Publications:

  1. P. Chodnicka, Gospodarka cienia w dobie kryzysu finansowego, in A. Poszewiecki, G. Szczodrowski „Polityka gospodarcza w teorii i praktyce”, NBP, Instytut Wiedzy i Innowacji, Warsaw, 2011; (P. Chodnicka, Shadow economy in time of financial crisis, in A. Poszewiecki, G. Szczodrowski „Economic policy in the theory and practice”, National Bank of Poland, Institute of the Knowledge and Innovation, Warsaw, 2011), ISBN – 13: 90–83–60653–21–0;
  2. P. Chodnicka, The economics of Money Laundering, in A.P. Balcerzak „Contemporary Issues in Economy: After the Crisis?”, Polish Society Branch in Toruń, Toruń, 2011, ISBN  978-83-62049-08-0;
  3. P. Chodnicka, Money Laundering in the Central and Eastern Europe, in “Advances in Business Related Scientific Research”, Venice, Italy, 2011, ISBN 978-961-92917-1-9;
  4. P. Chodnicka, Zastosowanie teorii „crying wolf” w procesie wykrywania prania brudnych pieniędzy – in J. Sokołowski, M. Sosnowski “Polityka ekonomiczna”, „Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu”, Wydawnictwo Uniwersytetu Ekonomicznego we Wrocławiu, no 166, Wroclaw, 2011; (P. Chodnicka, Applying a theory of “crying wolf” in the detection process of money laundering”, in J. Sokołowski, M. Sosnowski “Economic policy”, “Research work Wrocław University of Economics”, Wroclaw University of Economic Publisher, no 166, Wroclaw, 2011), ISSN 1899-3192, ISBN 978-83-7695-180-5;
  5. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, 2011, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, 2011), ISBN 978-83-61276-62-3;
  6. P. Chodnicka, Ekonomika prania brudnych pieniędzy, “Oeconomia Copernicana”, No. 4, Toruń, 2011 (P. Chodnicka, The economics of money laundering, “Oeconomia Copernicana”, No. 4, Toruń, 2011), ISSN 2083-1277;
  7. P. Chodnicka, Klasy ryzyka operacyjnego, “Miesięcznik Finansowy BANK”, No. December, 2011 (P. Chodnicka, The classification of operational risk, “Financial Monthly Magazine - BANK”, No. December, 2011), ISSN 1230-9125;
  8. P. Chodnicka, Money Laundering in the Central and Eastern Europe, “Journal of Modern Accounting and Publishing”, July 2012, Vol. 8, No. 7, pp. 1013-1024, ISSN 1548-6583;
  9. P. Chodnicka, J. Górka, Prognoza rozwoju sieci bankomatów w Polsce, „Prace naukowe Uniwersytetu Ekonomicznego we Wrocławiu”, No. 246, 2012 (P. Chodnicka, J. Górka, Prediction of ATM network development in Poland, "Research Work Wrocław University of Economics”, Wroclaw University of Economic Publisher, No. 246, 2012), ISBN 978-83-7695-209-3;
  10. P. Chodnicka, P. Jaworski, Śledząc parkiet - analiza jakości odwzorowania indeksu WIG 20 przez pierwszy na polskim rynku fundusz EXCHANGE TRADED FUND, „Problemy zarządzania”, vol. 10, No. 4 (39), Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2012 (P. Chodnicka, P. Jaworski, Analyzing the market - mapping quality analysis of WIG20 by the Exchange Traded Fund, the first fund on the Polish market, „Management problems”, vol. 10, No. 4 (39), Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2012), ISSN 1644-9584;
  11. P. Chodnicka, Anti – money laundering regulations in Europe, “Advances in Business Related Scientific Research”, Venice, Italy, 2012, ISBN 978-961-92917-3-3;
  12. P. Chodnicka, Geographical risk of money laundering in the European Banking System, “Oeconomia Copernicana”, No. 3, Toruń, 2012, ISSN 2083-1277;
  13. P. Chodnicka, Zarządzanie ryzykiem prania pieniędzy w systemie bankowym, „Problemy zarządzania”, vol. 10, No. 4 (39), Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2012 (P. Chodnicka, Money laundering risk management in the banking system „Management problems”, vol. 10, No. 4 (39), Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2012), ISSN 1644-9584;
  14. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, Second edition, 2012, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, Second edition, 2012), ISBN 978-83-61276-62-3;
  15. P. Chodnicka, P. Jaworski, Money laundering determinants – banks perspective, “Advances in Business Related Scientific Research”, Venice, Italy, 2013, ISBN 978-961-269-957-4;
  16. P. Chodnicka, P. Jaworski, Currency options on emerging markets and the financial crisis, “Advances in Business Related Scientific Research”, Venice, Italy, 2013, ISBN 978-961-269-957-4;
  17. P. Chodnicka, K. Niewińska, Ocena sektora bankowego w Europie in J. Sokołowski, A. Żabiński „Finanse publiczne”, „Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu”, Wydawnictwo Uniwersytetu Ekonomicznego we Wrocławiu, no. 306, Wrocław, 2013 (P. Chodnicka, K. Niewińska, The Analysis of European Banking Sector, in. J. Sokołowski, A. Żabiński, ”Public finance”, “Research Work Wroclaw University of Economics”, Wroclaw University of Economic Publisher, no. 306 Wroclaw), ISSN 1899-3192, ISBN 978-83-7695-386-1;
  18. P. Chodnicka, K. Niewińska, Determinanty wyceny rynkowej sektora bankowego w dobie kryzysu in J. Sokołowski, A. Żabiński „Finanse publiczne”, „Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu”, Wydawnictwo Uniwersytetu Ekonomicznego we Wrocławiu, no. 306, Wrocław, 2013 (P. Chodnicka, K. Niewińska, Determinants of market valuation of the banking sector during the recent financial crisis, in. J. Sokołowski, A. Żabiński, ”Public finance”, “Research Work Wroclaw University of Economics”, Wroclaw University of Economic Publisher, no. 306 Wroclaw), ISSN 1899-3192, ISBN 978-83-7695-386-1;
  19. P. Chodnicka, The restrictiveness of anti – money laundering regulations in Europe, in “Advances in Business Related Scientific Research”, Rome, Italy, 2013;
  20. P. Chodnicka, M. Olszak, R. Karkowska, Konkurencyjność jako determinanta efektywności europejskich banków, in A. Gorynia „Oblicza konkurencyjności nowych krajów członkowskich UW w warunkach globalizacji i integracji, Wydział Ekonomiczno – Informatyczny w Wilnie, Uniwersytet Białostocki, Vilnius, 2013 (P. Chodnicka, M. Olszak, R. Karkowska, Competitiveness as a determinant of effectiveness of European banks, in A. Gorynia „Calculates the competitiveness of the new EU member states in the context of globalization and integration, Faculty of Economics and Informatics in Vilnius, University of Bialystok, Vilnius, 2013);
  21. P. Chodnicka, M. Olszak, Do institutional and political factors matter for efficiency of banking sector?, post conference publication „Finance XXII International Conference on Money, Banking and Finance”, Rome, 2013;
  22. P. Chodnicka, M. Olszak, R. Karkowska, Determinants influencing efficiency of banking sector profitability, in K. Opolski, J. Górski „Perspektywy integracji gospodarczej i walutowej w Unii Europejskiej w czasach kryzysu”, Wydział Nauk Ekonomicznych Uniwersytetu Warszawskiego, Warsaw, 2013 (P. Chodnicka, M. Olszak, R. Karkowska, Determinants influencing efficiency of banking sector profitability, in K. Opolski, J. Górski „Prospects for economic and monetary integration in the European Union during crisis”, Faculty of Economic Science, University of Warsaw, Warsaw, 2013);
  23. P. Chodnicka, M. Olszak, Rentowność europejskiego sektora bankowego, in J. Rak, J. Turyna „Finansowe Uwarunkowania Rozwoju Organizacji Gospodarczych. Ryzyko w rachunkowości i zarządzaniu finansami”, Wydawnictwo Wydziału Zarzadzania Uniwersytetu Warszawskiego, Warsaw, 2013 (P. Chodnicka, M. Olszak, The profitability of European banking sector, in J. Rak, J. Turyna „Determinants of Financial Development Economic Organizations. Risk in accounting and financial management”, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2013);
  24. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, Third edition, 2013, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, Third edition, 2013);
  25. P. Chodnicka, M. Olszak, R. Karkowska, Wpływ regulacji na zyskowność europejskiego sektora bankowego, in W. Rogowski „Nowe koncepcje i regulacje nadzoru finansowego”, Oficyna Allerhanda, Cracow, 2014 (P. Chodnicka, M. Olszak, R. Karkowska, Impact of regulations on efficiency of European banking sector, in W. Rogowski "New concepts of financial supervision and regulation", Publishing Allerhand, Cracow, 2014;
  26. P. Chodnicka, M. Olszak, K. Niewińska, Determinanty rentowności banków w Europie Środkowo – Wschodniej, in K. Pietraszkiewicz „Sektor finansowy. Stymulatory i zagrożenia rozwoju”, Polish Economic Society, Warsaw, 2015 (P. Chodnicka, M. Olszak, K. Niewińska, Determinants of banks efficiency in the Central and Eastern Europe, in K. Pietraszkiewicz „Financial sector. Stimulators and threats to development”, Polish Economic Society, Warsaw, 2015);
  27. P. Chodnicka, Analiza kosztów przeciwdziałania praniu brudnych pieniędzy w systemie bankowym, „Studia Ekonomiczne, Zeszyty Naukowe Uniwersytetu Ekonomicznego w Katowicach No. 129, Wydawnictwo Uniwersytetu Ekonomicznego w Katowicach, Katowice, 2013 (P. Chodnicka , Analysis of anti – money laundering costs in banking system, „Economic Studies, Scientific Papers of the University of Economics in Katowice” No. 129, University of Economics in Katowice Publishing, Katowice, 2013);
  28. P. Chodnicka, M. Olszak, Współczesne wyzwania rynku finansowego, Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2014 (P. Chodnicka, M. Olszak, Contemporary challenges of the financial market, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2014);
  29. P. Chodnicka, M. Olszak, R. Karkowska, Towards contemporary issues in the financial system, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2014;
  30. P. Chodnicka, P. Jaworski, Porównanie czynników determinujących standing kredytowy krajów według poziomu rozwoju gospodarczego, in K. Opolski, J. Górski, “Perspektywy i wyzwania integracji europejskiej”, Wydział Nauk Ekonomicznych Uniwersytetu Warszawskiego, Narodowy Bank Polski, Warsaw, 2014 (Chodnicka P., Jaworski P., Comparision of determinants of country credit standing based on economic development level, in K. Opolski, J. Górski, “Perspektywy i wyzwania integracji europejskiej”, Faculty of Economic Science, University of Warsaw, National Bank of Poland, Warsaw, 2014);
  31. P. Chodnicka, Determinanty raportowania transakcji podejrzanych, in T. Czerwińska, A. Z. Nowak “Rynek kapitałowy wobec wyzwań dekoniunktury”, Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2014 (P. Chodnicka, Determinants of reporting suspicious transactions in T. Czerwińska, A. Z. Nowak “Capital market and the challenges of the downturn”, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2014);
  32. P. Chodnicka, P. Jaworski, K. Niewińska, The impact of country’s credit ratings on the cost of the capital, in “Advances in Business Related Scientific Research”, Rome, Italy, 2014;
  33. P. Chodnicka, M. Olszak, Do institutional and political factors matter for efficiency of banking sector?, “Journal of Banking and Financial Economics”, vol. 1, issue 1, 2014;
  34. P. Chodnicka, Zjawisko prania pieniędzy i jego charakterystyka in ed. P. Chodnicka „Przestępstwa finansowe wybrane zagadnienia”, Wydawnictwo Naukowe Texter, Warsaw, 2014; (P. Chodnicka, Money laundering phenomenon and its characteristic in ed. P. Chodnicka „Financial crimes – selected issues”, Texter Publishing, Warsaw, 2014);
  35. ed. P. Chodnicka, Przestępstwa finansowe wybrane zagadnienia, Wydawnictwo Naukowe Texter, Warsaw, 2014 (ed. P. Chodnicka, Financial crimes – selected issues, Texter Publishing, Warsaw, 2014);
  36. P. Chodnicka, P. Jaworski, K. Niewińska, Czynniki determinujące rating kredytowy krajów europejskich, „Problemy zarządzania”, Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2014 (P. Chodnicka, P. Jaworski, Determinants of European country's credit ratings., „Management problems”, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2014);
  37. P. Chodnicka, P. Jaworski, Credit rating a międzynarodowa konkurencyjność gospodarek, in A. Gorynia „Zmiany konkurencyjności nowych krajów członkowskich Unii Europejskiej: osiągnięcia i wyzwania”, Wydział Ekonomiczno – Informatyczny w Wilnie, Uniwersytet Białostocki, Vilnius, 2014 (P. Chodnicka, P. Jaworski Credit rating - international competitiveness of economies, in A. Gorynia „Changes competitiveness of the new Member States of the European Union: Achievements and Challenges”, Faculty of Economics and Informatics in Vilnius, University of Bialystok, Vilnius, 2014);
  38. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, Fourth edition, 2014, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, fourth edition, 2015);
  39. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, Fourth edition, 2015, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, fifth edition, 2015);
  40. P. Chodnicka, J. Górka, Bankowość centralna in J. Górka „Materiały ćwiczeniowe do „Bankowości”, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, Fifth edition, 2016, (P. Chodnicka., J. Górka, “Central banking”, in J. Górka “Banking – workbook”, University of Warsaw, Faculty of Management, Warsaw, sixth edition, 2016);
  41. P. Chodnicka, Pranie pieniędzy. Regulacje i ryzyko sektora bankowego, Uniwersytet Warszawski Wydział Zarządzania, Warsaw, 2015 (P. Chodnicka, Money laundering. Regulations and risk of the banking sector, University of Warsaw, Faculty of Management, Warsaw, 2015);
  42. P. Chodnicka, K. Niewińska, Koszt długu a rating kredytowy krajów, „Problemy zarządzania”, Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2016 (P. Chodnicka, K. Niewińska, The cost of debt and countries’ credit rating, „Management problems”, Scientific Publishing Faculty of Management University of Warsaw, Warsaw, 2016);
  43. P. Chodnicka, Wpływ ratingów kredytowych państw europejskich na koszt kapitału, Kwartalnik Kolegium Ekonomiczno – Społecznego. Studia i prace, vol. 3/4 (23)/2015, 2015 (P. Chodnicka, Influence of European States’ Credit Ratings on the Cost of Capital, “Quarterly of Collegium of Socio - Economic. Studies and works”, vol. 3/4 (23)/2015, 2015);
  44. P. Chodnicka – Jaworska, Credit rating determinants for European countries, “Global Journal of Management and Business Research. Finance”, vol 15, issue 9, 2015;
  45. P. Chodnicka, P. Jaworski, K. Niewińska, The impact of country’s credit rating on the cost of the capital, “International Review of Management and Business Research”, 2015; 
  46. P. Chodnicka - Jaworska, P. Jaworski, Zwiększone fundusze indeksowe na GPW - aktywne strategie zwiększające zwroty funduszy indeksowych, in: T. Czerwińska, A.Z. Nowak „Rynek kapitałowy – efektywność i ryzyko”, Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego, Warsaw, 2016 (P. Chodnicka - Jaworska, P. Jaworski, Enhanced index funds on the Stock Exchange active strategies to increase returns of index funds, in T. Czerwińska, A.Z. Nowak “Capital market – efficiency and risk”, University of Warsaw, Faculty of Management, Warsaw, 2015;
  47. P. Chodnicka - Jaworska, Legal and economic factors of money laundering in European banking sector, post conference publication “Academic International Conference on Interdisciplinary Legal Studies (AICILS)” (University of Oxford, Institute of Research, Learning and Development, Oxford, 1-3.03.2016);
  48. P. Chodnicka - Jaworska, Legal and economic factors of money laundering in European banking sector, post conference publication “Academic International Conference on Business, Economics, Management and Marketing (ICBEMM 2016)” (University of Oxford, Institute of Research, Learning and Development, Oxford, 15-17.08.2016);
  49. P. Chodnicka - Jaworska, European credit ratings’ regulations, post conference publication “Academic International Conference on Interdisciplinary Legal Studies (AICILS)” (University of Oxford, Institute of Research, Learning and Development, Oxford, 1-3.03.2016);
  50. P. Chodnicka - Jaworska, European credit ratings’ regulations, post conference publication “Academic International Conference on Business, Economics, Management and Marketing (ICBEMM 2016)” (University of Oxford, Institute of Research, Learning and Development, Oxford, 15-17.08.2016);
  51. P. Chodnicka, The Effect of Countries’ Credit Ratings on Credit Default Swap Spreads, in K. Raczkowski “Risk Management in Public Administration”, Palgrave Macmillan, 2017;
  52. P. Chodnicka – Jaworska, Wpływ zmian credit ratingów na rynek CDS w krajach europejskich – event study, „Studia Ekonomiczne. Zeszyty Naukowe Uniwersytetu Ekonomicznego w Katowicach”, no 301, 2016 (P. Chodnicka – Jaworska, The impact of credit rating changes on the CDS market in European countries – event study, „Economic Studies. University of Economics in Katowice”, no 301, 2016);
  53. P. Chodnicka – Jaworska, Determinanty ratingów kredytowych krajów strefy Euro, Prace naukowe Uniwersytetu Ekonomicznego we Wrocławiu, no 439, 2016 (P. Chodnicka – Jaworska, Determinants of Eurozone Countries’ Credit Ratings, Research Works Wrocław University of Economics, no 439, 2016);
  54. P. Chodnicka – Jaworska, Rentowność agencji ratingowych „Finanse, Rynki Finansowe, Ubezpieczenia”, no 4(82), part 1, 2016; (P. Chodnicka – Jaworska, The profitability of credit rating agencies „Finance, Financial Markets, Insurance”, no. 4(82), part 1, 2016; 
  55. P. Chodnicka – Jaworska, Kondycja finansowa sektora bankowego jako determinanta ratingów kredytowych banków, „Optimum. Studia ekonomiczne”, no 6(84), 2016 (P. Chodnicka – Jaworska, Financial Condition of the banking sector as a determinant of banks’ credit ratings, „Optimum. Economic studies”, no 6(84), 2016);
  56. P. Chodnicka – Jaworska, Rating kraju a kursy walutowe „Studia i prace Wydziału Nauk Ekonomicznych i Zarządzania Uniwersytetu Szczecińskiego”, no 44/3, 2016 (P. Chodnicka – Jaworska, Country’s credit rating and exchange rates, „Studia i prace Wydziału Nauk Ekonomicznych i Zarządzania Uniwersytetu Szczecińckiego”, no 44/3, 2016);
  57. P. Chodnicka – Jaworska, Makroekonomiczne czynniki not, nastawienia oraz trendów ratingów kredytowych krajów strefy Euro, Roczniki Kolegium Analiz Ekonomicznych, no 41, 2016 (P. Chodnicka – Jaworska, Macroeconomic factors of notes, watch lists and trends of credit ratings Eurozone countries, Annals the Collegium of Economic Analysis, no. 41, 2016). 
  58. P. Chodnicka - Jaworska, K. Niewińska, Determinanty stóp zwrotów kursów akcji, Finanse, rynki finansowe, ubezpieczenia, nr 2(80), 2016 (P. Chodnicka - Jaworska, K. Niewińska, Determinants of return rates of banks’ stock prices, Finance, financial markets, insurance, no. 2(80), 2016);
  59. P. Chodnicka - Jaworska, K. Niewińska, Analiza czynników wpływających na stopy zwrotu cen akcji banków w wybranych krajach Europy, „Studia i Prace WNEiZ US”, part 1, no 46, 2016 (P. Chodnicka - Jaworska, K. Niewińska, Analysis of factors affecting the rate of return on share prices of banks in selected European countries, P. Chodnicka - Jaworska, K. Niewińska, „Studies and works WNEiZ US”, part 1, no 46, 2016);
  60. P. Chodnicka - Jaworska, Market pricing of European banks credit rating changes, “International Business and Global Economy”, vol. 35(2), 2016;
  61. P. Chodnicka - Jaworska, Rating Polski na tle krajów Europy Środkowo - Wschodniej, „Społeczeństwo i Ekonomia”, 2(2016) (P. Chodnicka - Jaworska, Polish Credit Rating in Comparison with the Central and Eastern European Countries, „Society and Economy”, vol. 2(2016);
  62. P. Chodnicka -Jaworska, Zapowiedzi zmian credit ratingów banków a zamiany cen akcji, Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu, no 445, 2016 (P. Chodnicka, Announcements of banks’ credit ratings changes and stock prices changes, Research Papers of Wrocław University of Economics, no. 445, 2016).
  63. P. Chodnicka – Jaworska, Wpływ ratingów kredytowych na kurs akcji, Finanse, rynki finansowe, ubezpieczenia, no. 3(81), 2016 (P. Chodnicka – Jaworska The influence of credit rating on the stock prices. Finance, financial markets, insurance, no. 3(81), 2016);
  64. P. Chodnicka – Jaworska, Zarządzanie agencjami ratingowymi – modele emitent i inwestor płaci, Acta Universitatis Lodziensis Folia Oeconomica, no. 5, 2017 (P. Chodnicka – Jaworska Management of credit rating agencies – models “investor-pays” and “issuer-pays”, Acta Universitatis Lodziensis Folia Oeconomica, no. 5, 2017);
  65. P. Chodnicka – Jaworska, Macroeconomic aspects of banks’ credit ratings, “Equilibrium. Quarterly Journal of Economics and Economic Policy”, vol. 12, no. 1, 2017;
  66. P. Chodnicka – Jaworska, Information value of the credit rating on the credit default swaps market, Quantitative Methods in Economics, XVIII(3), 2017; 
  67. P. Chodnicka - Jaworska, P. Jaworski, Wpływ decyzji agencji ratingowych na ceny akcji polskich spółek giełdowych, „Studia Ekonomiczne, Zeszyty Naukowe Uniwersytetu Ekonomicznego w Katowicach No. 311, Wydawnictwo Uniwersytetu Ekonomicznego w Katowicach, Katowice, 2017 (P. Chodnicka – Jaworska, P. Jaworski, Wpływ decyzji agencji ratingowych na ceny akcji polskich spółek giełdowych, „Economic Studies, Scientific Papers of the University of Economics in Katowice” No. 311, University of Economics in Katowice Publishing, Katowice, 2017);
  68. P. Chodnicka – Jaworska Banks’ credit rating changes and their stock prices – the impact of political divisions and economy, Review of Socio-Economic Perspectives, vol. 1 no. 1, June 2016;
  69. P. Chodnicka – Jaworska, Impact of credit rating agencies on European Banking stock prices: Is the recognition of credit rating agency important?, post conference publication “IFABS 2016 Barcelona Conference. Risk in Financial Markets and Institutions: New challenges, New solutions” (Universitat Autònoma de Barcelona (UAB), University of Nottingham, University of Sheffield and University of Leicester);
  70. P. Chodnicka – Jaworska, Banks credit ratings – is the size of the credit rating agency important?, post conference publication “13th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  71. P. Chodnicka – Jaworska, Banks’ credit ratings changes and their stock prices – the impact of political divisions and economy development, post conference publication “13th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  72. P. Chodnicka – Jaworska, CAMEL – ocena ryzyka w estymacji credit ratingów banków europejskichStudia Ekonomiczne. Zeszyty Naukowe Uniwersytetu Ekonomicznego w Katowicach, no. 339, 2017 (University of Economics in Katowice) (P. Chodnicka – Jaworska, CAMEL – estimation method European banks’ credit ratings, Studia Ekonomiczne. Zeszyty Naukowe Uniwersytetu Ekonomicznego w Katowicach, no. 339, 2017 (University of Economics in Katowice);
  73. P. Chodnicka - Jaworska, K. Niewińska, Grupowanie zmienności cen akcji banków w wybranych krajach europejskich, in M. Bugdol, P. Jedynak, „Jakość zarządzania, refleksje, wymiary, problemy”, Wydawnictwo Uniwersytetu Jagiellońskiego, 2017 (Jagiellonian University in Kraków) (P. Chodnicka - Jaworska, K. Niewińska, Grouping volatility of banks in selected European countries, in M. Bugdol, P. Jedynak, „Jakość zarządzania, refleksje, wymiary, problemy”, Wydawnictwo Uniwersytetu Jagiellońskiego, 2017 (Jagiellonian University in Kraków);
  74. P. Chodnicka – Jaworska, Rozpoznawalność agencji ratingowych a wpływ na kursy akcji, Przedsiębiorczość i zarządzanie, XVII, 8, II, p. 61 – 72. (P. Chodnicka – Jaworska, Recognition of credit rating agencies and their impact on the stock prices, Entrepreneurship and Management, Vol. XVII, issue 8, part II, pp. 61 – 72).
  75. P. Chodnicka - Jaworska, Wpływ wskaźników finansowych na ratingi kredytowe banków z krajów strefy Euro, „Nauki o finansach”, no. 3(28), 2016 (P. Chodnicka - Jaworska, The Impact of financial indicators on credit ratings of banks from Eurozone, „Financial science”, no. 3(28), 2016)
  76. P. Chodnicka – Jaworska, A panel ordered response model for banks’ credit ratings estimation, post conference publication “9th International Conference of the ERCIM WG on Computational and Methodological Statistics” organized by Universidad de Sevilla, Queen Marry University of London, Birkbeck University of London;
  77. P. Chodnicka - Jaworska, Oczekiwanie zmiany nastawienia credit ratingów banków, a kursy akcji przy uwzględnieniu poziomu rozwoju gospodarczego, Kwartalnik Kolegium Ekonomiczno – Społecznego. Studia i prace, nr 1(29), 2017 (P. Chodnicka - Jaworska, Expectations of banks’ credit ratings announcement changes and stock prices taking into account the level of the economy development, Quarterly Economic and Social College. Study and work, no 1(29), 2017);
  78. P. Chodnicka - Jaworska, Konkurencyjność agencji ratingowych, „Zeszyty Naukowe Wyższej Szkoły Bankowej w Poznaniu”, no 73(2), 2017 (P. Chodnicka - Jaworska, Credit rating agencies competitiveness, „Zeszyty Naukowe Wyższej Szkoły Bankowej w Poznaniu”, no 73(2), 2017);
  79. P. Chodnicka -Jaworska, Countries’ credit ratings and exchange rates – the impact of economy development, “Review of Socio-Economic Perspectives”, no 1(2), 2016;
  80. P. Chodnicka -Jaworska, Rating kredytowy emitenta a inwestora – porównanie wpływu determinat“Problemy zarządzania”, vol. 15 no 1 (66), part 2, 2017 (P. Chodnicka -Jaworska, Issuer and investor paid credit ratings – the factors comparison, “Management Issues”, vol. 15 no 1 (66), part 2, 2017);
  81. P. Chodnicka – Jaworska, M. Olszak, I. Kowalska, F. Świtała, Bank-specific determinants of sensitivity of loan loss provisions to the business cycle in Poland, European Journal of Finance, no. 24(17), 2018;
  82. P. Chodnicka - Jaworska, Banks’ credit ratings – domestic and foreign notes, Argumenta Oeconomica Cracoviesia, no. 18, 2018;
  83. P. Chodnicka – Jaworska, Zjawisko inflacji credit ratingów – czy występują różnice w determinantach credit ratingów?, „Studia i Materiały. Wydział Zarzadzania Uniwersytetu Warszawskiego”, no. 2(2), 2016 (P. Chodnicka – Jaworska, Credit ratings’ inflation pheonomenon – are there differences in credit ratings determinants?, „Studies and Materials. Faculty of Management University of Warsaw”, no. 2(2), 2016);
  84. P. Chodnicka – Jaworska, Banks’ credit rating inflation, „Olsztyn Economic Journal”, nr 12, (1/2017), 2017;
  85. P. Chodnicka – Jaworska, Banks and stakeholders credit ratings, post conference publication “14th International Conference Developments in Economic Theory and Policy” organized by Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge, 2017;
  86. P. Chodnicka – Jaworska, T. Czerwińska, P. Jaworski, Ordered logit panel data response on insurance companies, post conference publication “14th International Conference Developments in Economic Theory and Policy” organized by Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge, 2017;
  87. P. Chodnicka – Jaworska, Banks’ Credit Ratings – the Impact of the Investor Type, post conference publication “International Risk Management Conference. Assessing 10 Years of Changes in the Financial Markets: How will the Future be impacted?” organized by University of Florence, NYU Stern School of Business, European University Institute-Florence School of Banking & Finance, University of Udine, 2017;
  88. P. Chodnicka – Jaworska, Banks’ Credit Ratings – the Impact of the Investor Type, post conference publication “4th Young Finance Scholars Conference” organized by University of Sussex, 2017; 
  89. P. Chodnicka – Jaworska, P. Jaworski, The Chinese and The Big Three Credit Rating Agencies - Their Impact on Stock Prices, post conference publication “16th FRAP - Finance, Risk and Accounting Perspectives”, organized by Univeristy of Cambridge and ACRN Oxford, 2017;
  90. P. Chodnicka – Jaworska, Prediction of banking sector condition, “Review of Socio-Economic Perspectives”, no. 1(3), 2017;
  91. P. Chodnicka – Jaworska, The Reaction of the Stock Market on Credit Rating Agencies Decisions, Working Papers Institute of Economic Research, no. 18/2017;
  92. P. Chodnicka – Jaworska, P. Jaworski, The Fundamental Determinants of Credit Default Risk of European Banks, “Journal of International Studies”, nr 10(3), 51-63. 2017; 
  93. P. Chodnicka – Jaworska, Istotność wskaźników finansowych a credit rating banku w dobie kryzysu, “Acta Universitatis Lodziensis Folia Oeconomica”, no. 1, 2018 (P. Chodnicka – Jaworska, Significance of financial determinants and banks’ credit ratings during the crisis, “Acta Universitatis Lodziensis Folia Oeconomica”, no. 1, 2018);
  94. P. Chodnicka – Jaworska, Metodologia credit ratingu, “Studia i Prace WZNEiZ US”, no 47/3, 2017 (P. Chodnicka – Jaworska, Credit rating methodology, “Studia i Prace WZNEiZ US”, no 47/3, 2017);
  95. P. Chodnicka – Jaworska, Cykl koniunkturalny a zmiany na rynku finansowym – credit rating, „Studia i Prace WZNEiZ US, no 49/2, 2017 (P. Chodnicka – Jaworska, Business Cycle and Changes on the Financial Market – Credit Ratings, „Studia i Prace WZNEiZ US, no 49/2, 2017);
  96. P. Chodnicka – Jaworska, Forma własności banku a credit rating, „Bezpieczny bank”, no 2(67), 2017 (P. Chodnicka – Jaworska, Banks’ ownership and credit ratings, „Safe bank”, no 2(67), 2017);
  97. P. Chodnicka – Jaworska, Wpływ ryzyka politycznego na credit rating banków europejskich, „Przedsiębiorczość i zarządzanie”, no XVIII, 9, part II, 2017 (P. Chodnicka – Jaworska, The impact of political risk on the credit rating of European banks, "Entrepreneurship and Management", no XVIII, 9, part II, 2017);
  98. P. Chodnicka – Jaworska, Competitiveness and concentration of banking sector as a one of the measure of banks’ credit ratings, Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu, no. 519, 2018;
  99. P. Chodnicka – Jaworska, Wpływ ryzyka upadłości inwestorów na credit rating banków europejskich, „Bezpieczny bank”, no 3, 2017 (P. Chodnicka – Jaworska, Impact of risk of bankruptcy of investors on the credit rating of European banks, „Safe bank”, no 3, 2017);
  100. P. Chodnicka – Jaworska, Wpływ determinant na credit rating ubezpieczycieli  - zobowiązania wyrażone w walucie krajowej i zagranicznej, Nauki o finansach, no. 3, 2017 (P. Chodnicka – Jaworska, The impact of the determinant on the credit rating of the insurers - liabilities expressed in domestic and foreign currency, Financial science, no. 3, 2017);
  101. P. Chodnicka-Jaworska,  Country’s credit ratings changes and bond market – the impact of political divisions and economy development, Problemy zarządzania, no. 3(2018) 2018;
  102. P. Chodnicka – Jaworska, Determinanty credit ratingów instytucji ubezpieczeniowych, „Ekonomika i Organizacja Przedsiębiorstwa”, no 6, 2017 (P. Chodnicka – Jaworska, Insurance institutions credit ratings determinants, „Ekonomics and Finance Organization, no 6, 2017);
  103. P. Chodnicka – Jaworska, Nonlinear decomposition banks credit ratings, post conference publication “11th International Conference on Computational and Financial Econometrics” organized by University of London, 2017.
  104. P. Chodnicka – Jaworska,  Credit ratings – analysis of companies probability of default, post conference publication “5th International Conference on Politics, Economics, Finance & Interdisciplinary Studies", organized by Review of Socio - Economic Perspectives, 2017;
  105. P. Chodnicka – Jaworska, M. Olszak, F. Świtała, I. Kowalska, The effect of capital ratio on lending - Does loan loss provisioning matter?post conference publication “Financial Engineering and Banking Society Conference 2018 Rome” organized by University of Rome Tor Vergata, University of Rome III, Italian Research Council (CNR), University of Tuscia, LUMSA University in Rome;
  106. P. Chodnicka – Jaworska, Banks’ Credit Ratings – is the Investor Type Important?, post conference publication “IFABS 2018 Porto Conference. Ten years after the 2008 financial crisis – where are we heading now?” organized by University of Porto, Said Business School, University of Oxford, University of Bath, University of Leicester, Vleric Business School;
  107. P. Chodnicka – Jaworska, Banks’ Credit Ratings – the Impact of the Investor Type, post conference publication “International Risk Management Conference 2018” organized by University of Florence, NYU Stern School of Business, EM-Lyon Business School, University of Paris Dauphine;
  108. P. Chodnicka - Jaworska, Banks’ credit ratings – is the government support important?, post conference publication “15th International Conference Developments in Economic Theory and Policy” organized by Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge, 2018.
  109. P. Chodnicka - Jaworska, The issuer and investor credit ratings – the impact on the stock prices, Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu, no. 519, 2018;
  110. P. Chodnicka – Jaworska, Sensitivity of the Central and Eastern Europe stock market on the credit ratings changes, Problemy zarządzania, no. 2(16), 2018;
  111. P. Chodnicka – Jaworska, P. Jaworski, Credit rating a ryzyko kredytowe emitenta, „Kwartalnik Kolegium Ekonomiczno-Społecznego. Studia i prace”, nr 2, 2018 (P. Chodnicka – Jaworska, P. Jaworski, Credit rating and the credit risk of the issuer, „Studies and works”, no. 2, 2018);
  112. P. Chodnicka – Jaworska, 2018, Competitiveness and concentration of banking sector as a one of the measure of banks’ credit ratings, in K. Jajuga,  H. Locarek-Junge, L. T. Orlowski, “Contemporary trends and challenges in finance: proceedings from the 3rd Wroclaw International Conference in Finance”, Springer International Publishing AG, Cham, Switzerland, p. 121 – 134; 
  113. P. Chodnicka – Jaworska, M. Górski, 2018, The Process of Catching up with the Economic Developmentof OCED Countries and the Role of Foreign Direct Investment in the Process, in J.Y. Lin, A.Z. Nowak, “New structural policy in an open market economy”, University of Warsaw, Faculty of Management, p. 165-186; 
  114. P. Chodnicka – Jaworska, P. Jaworski, K. Niewińska, 2018, Wpływ credit ratingów krajów na zmienność kursów akcji banków europejskich, in J. Górka, “System finansowy w muliperspektywie”, University of Warsaw, Faculty of Management, p. 181-191 (P. Chodnicka – Jaworska, P. Jaworski, K. Niewińska, 2018, Impact of country credit ratings on the volatility of European banks' share prices, in J. Górka, “The financial system in a multiperspective”, University of Warsaw, Faculty of Management, p. 181-191);
  115. P. Chodnicka – Jaworska, 2016, A panel ordered response model for banks’ credit ratings estimation, “Book of Abstracts. 9th International Conference of the ERCIM WG on Computational and Methodological Statistics”, Universidad de Sevilla, Queen Marry University of London, Birkbeck University of London; 
  116. P. Chodnicka – Jaworska, 2017, Nonlinear decomposition banks credit ratings, “Book of abstracts. 11th International Conference on Computational and Financial Econometrics”, University of London; 
  117. P. Chodnicka – Jaworska, M. Olszak, F. Świtała, I. Kowalska, 2017, The effect of capital ratio on lending - Does loan loss provisioning matter?, “Faculty of Management Working Paper Series”, no. 2/2017, p. 1-47.
  118. P. Chodnicka – Jaworska, 2018, Banks credit ratings – is the size of the credit rating agency important?, “Faculty of Management Working Paper Series”, no. 3/2018, p. 1-35; 
  119. P. Chodnicka – Jaworska, 2019, Banks and stakeholders credit ratings-evidence from the European market, “Faculty of Management Working Paper Series”, no. 6/2019, p. 1-28; 
  120. P. Chodnicka – Jaworska, P. Jaworski, 2019, Insurance companies – what determinate their credit ratings, “Faculty of Management Working Paper Series”, no. 8/2019, p. 1-29.
  121. P. Chodnicka – Jaworska, 2018, Banks’ Credit Ratings – the Impact of the Investor Type, “Faculty of Management Working Paper Series”, no. 1/2018, p. 1-37; 
  122. P. Chodnicka – Jaworska, P. Jaworski, 2019, The Chinese and The Big Three Credit Rating Agencies - Their Impact on Stock Prices, “Faculty of Management Working Paper Series”, no. 5/2019, p. 1-27; 
  123. P. Chodnicka – Jaworska, 2019, Impact of credit rating agencies on European Banking stock prices: Is the recognition of credit rating agency important?, “Faculty of Management Working Paper Series”, no. 7/2019, p. 1-36; 
  124. ed. P. Chodnicka-Jaworska, T. Czerwińska, 2018, Financial markets - current issues: scientific editors' note, “Problemy Zarządzania”, no. 16(2).
  125. P. Chodnicka-Jaworska, 2020, Wpływ COVID-19 na nastawienie i credit ratingi krajów, „Zarządzanie mediami”, no. 8(4) (P. Chodnicka-Jaworska, 2020, COVID-19 Impact on Countries’ Outlooks and Credit Ratings, “Zarządzanie Mediami”, no. 8(4)).
  126. P. Chodnicka-Jaworska, M. Olszak, F. Świtała, I. Kowalska, 2020, Do cyclicality of loan-loss provisions and income smoothing matter for the capital crunch?, “Bank and Credit”, no. 51(4).
  127. P. Chodnicka-Jaworska, 2020, Ryzyko prania pieniędzy, Wydawnictwo Naukowe Wydziału Zarządzania, Warsaw (P. Chodnicka-Jaworska, 2020, Risk of Money Laundering, Faculty of Management, University of Warsaw Publishing, Warsaw).
  128. P. Chodnicka-Jaworska, 2020, Is bigger better? The impact of the size of banks on credit ratings, “Financial Internet Quaterly”, nr 16(2), p. 24-36.
  129. P. Chodnicka-Jaworska, 2019, Determinanty credit ratingów oraz ich wpływ na rynek finansowy, PWE, Warsaw (P. Chodnicka-Jaworska, 2019, Credit Ratings Determinants and their Impact on the Financial Market, PWE, Warsaw);
  130. P. Chodnicka-Jaworska, P. Jaworski, 2020, Wrażliwość rynku akcji na publikacje danych rynkowych w czasie pandemii COVID-19, Wydawnictwo Naukowe Wydziału Zarządzania, Warsaw (P. Chodnicka-Jaworska, P. Jaworski, 2020, Stock market sensitivity to market data releases during the COVID-19 pandemic, Faculty of Management, University of Warsaw Publishing, Warsaw).
  131. P. Chodnicka-Jaworska, 2021, ESG as a Measure of Credit Ratings, “Risks”, 9(12), 226.
  132. P. Chodnicka-Jaworska, 2022, Environmental, Social, and Governance Impact on Energy Sector Default Risk—Long-Term Issuer Credit Ratings Perspective, “Front. Energy Res.”, 10:817679.

 

 

Conferences:

 

  • 16 – 17 XII 2022, Miami – “World Finance Conference” (Florida International University) 
  • 24 – 25 XI 2022, Rome – “28th RSEP International Economics, Finance & Business Conference”- (Review of Socio - Economic Perspectives) 
  • 16 – 17 VI 2022, Paris – “25th RSEP International Conference on Economics, Finance & Business”

ü 28-30 IV 2022, New York, “Financial Regulations & Technology: Advances Since the Financial Crisis. 65th Meeting Euro Working Group for Commodities and Financial Modelling (Centre for International Financial Services and Markets Hofstra University);

  • 24-25 II 2022, Vienna, “24th RSEP International Economics, Finance & Business Conference” (Review of Socio - Economic Perspectives);
  • 18-20 XII 2021, London - “15th International Conference on Computational and Financial Econometrics (CFE 2021)” (CFEnetwork, King's Business School, King's Department of Mathematics);
  • 11 XI 2021, Helsinki – „EIFAS 2021 - Green Finance and Accounting with ESG” (Hanken School of Economics, Middlesex University London, ACRN Oxford Research Center, University of A.S. Upper Austria, Emerald Journal of Applied Accounting Research, ACRN Journal of Finance and Risk Perspectives, Routledge Journal of Social Entrepreneurship, Scopus);
  • 25-26 XI 2021, Rome - “23rd RSEP International Economics, Finance & Business Conference”- (Review of Socio - Economic Perspectives);
  • 1-2 X 2021, Calighari – “International Risk Management Conference 2021” (University of Florence, NYU Stern School of Business, European Commission, FDC);
  • 25-26 VIII 2021, Istambuł – “22nd RSEP International Economics, Finance & Business Conference” (Review of Socio - Economic Perspectives);
  • 19-20 V 2021, Barcelona – “21st RSEP International Economics, Finance & Business Conference /Online” (Review of Socio - Economic Perspectives);
  • 17 – 18 II 2021, Vienna – “20th RSEP International Conference on Business, Economics & Finance” (Review of Socio - Economic Perspectives);
  • 19-20 XII 2020 - “14th International Conference on Computational and Financial Econometrics (CFE 2020)” (CFEnetwork, King's Business School, King's Department of Mathematics)
  • 1 – 2 XII 2020, Prague – “19th RSEP International Conference on Business, Economics & Finance” (Review of Socio - Economic Perspectives);
  • 9-10 X 2020 – “International Risk Management Conference 2020” (University of Florence, NYU Stern School of Business, European Commission, FDC)
  • 24-28 VIII 2020 - “EEA Congress” (European Economic Association)
  • 14 – 16 XII 2019, London – “13th International Conference on Computational and Financial Econometrics” (Senate House and Birckbeck University of London),
  • 27 – 28 VI 2019, Bilbao – “16th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  • 11 – 13 VI 2019, Istanbul – “13th RSEP International Conference on Business, Economics & Finance” (Review of Socio - Economic Perspectives);
  • 17 - 18 VI 2019, Milan – “International Risk Management Conference 2019” (University of Florence, NYU Stern School of Business, SDA Bocconi School of Management);
  • 27 – 29 V 2019, Cracow – „Emerging Economies in Transition” (Cracow University of Economics);
  • 14 - 16 XII 2018, Pisa - “12th International Conference on Computational and Financial Econometrics” (University of Pisa),
  • 28 – 29 VI 2018, Bilbao – “15th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  • 7 - 8 VI 2018, Paris – “International Risk Management Conference 2018” (University of Florence, NYU Stern School of Business, EM-Lyon Business School, University of Paris Dauphine);
  • 4 – 6 VI 2018, Rome – “Financial Engineering and Banking Society Conference 2018 Rome” (University of Rome Tor Vergata, University of Rome III, Italian Research Council (CNR), University of Tuscia, LUMSA University in Rome);
  • 30 VI – 2 VII 2018, Porto – “IFABS 2018 Porto Conference. Ten years after the 2008 financial crisis – where are we heading now?” (University of Porto, Said Business School, University of Oxford, University of Bath, University of Leicester, Vleric Business School) 
  • 17 – 19 VI 2018, Toruń – “Konferencja Katedr Finansów” (Uniwersytet Mikołaja Kopernika)
  • 29 – 30 VI 2017, Bilbao – “14th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  • 12 - 14 VI 2017, Florence – “International Risk Management Conference. Assessing 10 Years of Changes in the Financial Markets: How will the Future be impacted?” (University of Florence, NYU Stern School of Business, European University Institute-Florence School of Banking & Finance, University of Udine);
  • 12 – 13 VI 2017, London – “4th Young Finance Scholars Conference” (University of Sussex);
  • 25 – 27 IX 2017, Cambridge – “16th FRAP - Finance, Risk and Accounting Perspectives” (University of Cambridge, ACRN Oxford);
  • 5 – 7 IV 2017, Vienna – “3rd International Conference on Politics, Economics, Finance & Interdisciplinary Studies" (Review of Socio - Economic Perspectives);
  • 22 – 23 VI 2017, Torun – “9th International Conference on Applied Economics Contemporary Issues In Economy” (Polskie Towarzystwo Ekonomiczne Oddział w Toruniu, Instytut Badań Gospodarczych Wydział Nauk Ekonomicznych i Zarządzania Uniwersytetu Mikołaja Kopernika w Toruniu, Brno University of Technology, Eastern Macedonia and Thrace Institute of Technology, Hungarian Academy of Sciences, Centre for Economic and Regional Studies, Institute of World Economics, Kaunas University of Technology, Pablo de Olavide University, University of Economics in Bratislava);
  • 5 – 7 VI 2017, Międzyzdroje – “XIV Ogólnopolski Zjazd Katedr Ekonomii. Ekonomiczne wyzwania XXI wieku. Polska - Unia Europejska – Świat” (University of Szczecin);
  • 3 IV 2017, Lodz – “Finanse i biznes międzynarodowy – współczesne problemy” (University of Lodz);
  • 9 – 10 V 2017, Wilno – „Współczesna ekonomia” (University of Szczecin, Mykolas Romeris Univeristy, Faculty of Politics and Management Institute of Management);
  • 2 VI 2017, Pobierowo – „Wybrane problemy współczesnej gospodarki światowej” (University of Szczecin); 
  • 9 – 10 VI 2017, Rzeszow – „Finansjalizacja – nowe tendencje i kierunki rozwoju” (University of Information Technology and Management in Rzeszow);
  • 18 – 20 IX 2017, Lublin – „Konferencja Katedr Finansów” (UMCS in Lublin);
  • 24 – 25 X 2017, Warsaw – „Bezpieczeństwo ekonomiczne obrotu gospodarczego” (University of Social Science);
  • 5 – 7 VI 2017, Sopot – „VII Europejski Kongres Finansowy” (Gdańsk Academy of Banking);
  • 13 – 14 IX 2017, Wroclaw – “Wrocław Conference in Finance. Contemporary Trends and Challenges” (Wrocław University of Economics);
  • 25 X 2017, Wroclaw – “Finanse - Statystyka - Badania empiryczne” (Wrocław University of Economics);
  • 22 V 2017, Katowice – „Współczesne problemy ekonomiczne. Świat po kryzysie” (University of Economics in Katowice);
  • 29 XI – 1 XII 2017, Lodz - „XI Konferencja Naukowa. Pomiar i ocena zjawisk społeczno-ekonomicznych” (Univeristy of Lodz);
  • 16 - 18 XII 2017, London – “11th International Conference on Computational and Financial Econometrics” (University of London);
  • 11 X 2017, Cracow - Nationwide conference - long-term saving and investing "(Cracow University of Economics, Center for Banking Law and Information);
  • 10 – 11 X 2017, Lodz – „Przyszłość finansów 2017. Wspieranie rozwoju innowacyjnej gospodarki - państwo a przedsiębiorczość” (University of Lodz);
  • 7 – 10 XI 2017, Barcelona – “5th International Conference on Politics, Economics, Finance & Interdisciplinary Studies" (Review of Socio - Economic Perspectives);
  • 13 – 14 IX 2017, Wroclaw – “Wrocław Conference in Finance. Contemporary Trends and Challenges” (Wrocław University of Economics);
  • 9 – 11 XII 2016, Sevilla – “9th International Conference of the ERCIM WG on Computational and Methodological Statistics” (Universidad de Sevilla, Queen Marry University of London, Birkbeck University of London);
  • 15-21 VI 2016, Lodz – „Modern Econometric Analysis” (University of Lodz);
  • 1 - 2 VI 2016, Barcelona - "IFABS 2016 Barcelona Conference. Risk in Financial Markets and Institutions: New challenges, New solutions" (International Finance and Banking Society);
  • 28 - 30 IV 2016, Prague - "1st DOKTUR International Conference on Politics, Economics, Finance & Interdisciplinary Studies" (Review of Socio - Economic Perspectives);
  • 15 - 17 VIII 2016, Oxford - "International Conference on Business, Economics, Management and Marketing" (University of Oxford, Institute of Research, Learning and Development);
  • 23 – 24 VI 2016, Bilbao – “13th International Conference Developments in Economic Theory and Policy” (Department of Applied Economics V of the University of the Basque Country UPV/EHU, Cambridge Centre for Economic and Public Policy, Department of Land Economy, of the University of Cambridge);
  • 7 – 8 XI 2016, Wroclaw – „XVI International Scientific Conference NO-RA 2016. Financial assets” (Wrocław University of Economics);
  • 8-10 XI 2016, Wisla - „Innovations in finance, banking and insurance - theory and practice. Methods 2016” (University of Economics in Katowice);
  • 15 – 16 VI 2016, Cracow - „Economics and management quality” (Jagiellonian University in Kraków);
  • 19 – 20 X 2016, Warsaw - „Scientific Conference on Safety of Economic Trade" (University of Social Science);
  • 27 – 28 IX 2016, Wroclaw - “II Wrocław Conference in Finance WROFIN” (Wrocław University of Economics);
  • 26 X 2016, Wroclaw - „Finance - Statistics - Empirical” (Wrocław University of Economics);
  • 19 – 21 X 2016, Poznań - “International conference on accounting, finance and financial institutions. Theory and practice” (Poznań University of Economics and Business);
  • 1 – 2 XII 2016, Rome - “XXV International Rome Conference on Money, Banking and Finance” (University of Rome);
  • 21 XI 2016, Warsaw - „The stability of the financial system mechanism in an unstable environment” (Warsaw School of Economics);
  • 25 XI 2016, Warsaw - “IX International Forum – Finance and Banking” (Warsaw University of Life Science);
  • 4 XI 2016, Chorzów - „IX Chorzów Conference of Banking and Finance” (WSB in Poznań);
  • 2 – 4 XI 2016, Madryt - “2nd RSEP Multidisciplinary Conference – Madrid” (Review of Socio-Economic Perspectives);
  • 13 IX 2016, Warsaw - „Risk management of financial institutions” (University of Warsaw);
  • 5 - 7 IX 2016, Karpacz - „XXI Problems of economy, economy policy and public finance” (Wrocław University of Economics);
  • 15-21 VI 2016, Łódź – „Modern Econometric Analysis” (organizowana przez Uniwersytet Łódzki);
  • 6 - 8 VI 2016, Międzyzdroje - „XIII Conference of Economics Chairs” (University of Szczecin);
  • 20 - 22 VI 2016, Kołobrzeg -„XVII International Conference of Financial Management” (University of Szczecin);
  • 24 VI 2016, Pobierowo - „Selected problems of the modern world economy” (University of Szczecin);
  • 11 - 13 V 2016, Dziwnówek - „III International Scientific Conference „Modern economics” (University of Szczecin);
  • 13 V 2016, Warszawa - „V National Conference on modeling panel data: theory and practice” (Polish Academy of Science, Warsaw School of Economics);
  • 21 - 23 IX 2016, Lodz - „Conference of Financial Chairs” (University of Lodz);
  • 18 - 20 V 2016, Świnoujście - "Accounting in the management of economic units" (University of Szczecin);
  • 22 - 24 IX 2016, Beskid Śląski - „Economic systems and their evolution. Systemic conditions of the state's role in the modern economy" (University of Economics in Katowice);
  • 18 - 20 V 2016, Kołobrzeg - "Aspects of economic, social and spatial (in a national, regional and local)" (University of Szczecin);
  • 19 - 20 V 2016, Gdansk - "The challenges of the global economy" (University of Gdansk);
  • 27 - 28 VI 2016, Bialystok - "Socio - economic development in the economic theories" (University of Bialystok);
  • 16 – 18 XII 2015, Lodz – “Current Economic and Social Topics International Colloquium CEST ic2015” (GPW, University of Lodz);
  • 1 - 3 III 2016, Oxford - “Academic International Conference on Interdisciplinary Legal Studies (AICILS)" (University of Oxford, Institute of Research, Learning and Development);
  • 5 XII 2015, Warsaw - „Capital Market Convention. The annual meeting of financial practitioners with the scientific community" (KDPW, Faculty of Management, University of Warsaw);
  • 4 XI 2015, Wisła - "METODY 2015" (University of Economics in Katowice);
  • 16 - 18 IX 2015, Jachranka - "Conference of Financial Chairs" (Warsaw School of Economics);
  • 7 - 8 X 2015, Warsaw - „Scientific Conference on Safety of Economic Trade " (University of Social Science);
  • 12 – 13 III 2015, Lodz - “Economy today. Interdisciplinary Approach to Contemporary Economic Challenges” (University of Lodz);
  • 4 XII 2014, Warsaw - „Capital Market Convention. The annual meeting of financial practitioners with the scientific community" (KDPW, Faculty of Management, University of Warsaw);
  • 9 - 10 V 2014, Vilnius - „Calculates the competitiveness of the new EU member states in the context of globalization and integration” (Faculty of Economics and Informatics in Vilnius, University of Bialystok);
  • 24 – 26 IX 2014, Rome - „Advances in Business Related Scientific Research Conference 2014 in Rome”;
  • 18 – 19 IX 2014, Warsaw - “Perspectives of economic and monetary integration in crisis time. Where is the Eurozone heading?” (Faculty of Economic Science, University of Warsaw, National Bank of Poland);
  • 12 – 13 VI 2014, Warsaw - “International Conference on Management, Banking and Finance” (University of Warsaw);
  • 12 – 13 XII 2014, Rome - “XXII International Conference on Money Banking and Finance” (CASMEF – Arcelli Center for Monetary and Financial Studies, LUISS &n
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HR Excellence in Research
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Ministerstwo Nauki
Polska Komisja Akredytacyjna

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