"Nauki o Finansach 2013, nr 3(16)"

Identyfikator Librowy: 116257

Spis treści

Introduction 8

Part 1. Public Finance and Corporate Finance 10

Marcin Będzieszak, Examination of the relation between pupils’ results and public schools’ expenditure 12

Krzysztof Janas, Enterprise valuation using the adjusted net assets methodology – case study 24

Ioan-Alin Nistor, Dragoş Păun, Taxation and its effect on foreign direct investments – the case of Romania 38

Part 2. Financial Markets 50

Urszula Banaszczak-Soroka, Position of the Warsaw Stock Exchange compared to the LSE Group and CEESEG (the first decade of the 21st century – selected parameters) 52

Piotr Stanisław Chłopek, RAROC as a credit risk approach 65

Radosław Kurach, Commodities’ usefulness in a portfolio context – an empirical study 78

José Raymundo Serrano Marín, Multi-factor models for carbon risk measurement in Polish enterprises in the energy market 90