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Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Kata R. Zadłużenie rolników w Polsce w aspekcie przemian strukturalnych i koniunktury w rolnictwie
Autor | Ryszard Kata |
Tytuł | Zadłużenie rolników w Polsce w aspekcie przemian strukturalnych i koniunktury w rolnictwie |
Title | INDEBTEDNESS OF FARMERS IN POLAND IN LIGHT OF STRUCTURAL CHANGES AND ECONOMIC FLUCTUATIONS IN AGRICULTURE |
Słowa kluczowe | gospodarstwa rolne, kredyt bankowy, koniunktura w rolnictwie, przemiany strukturalne. |
Key words | agricultural holdings, bank credit, economic fluctuations in agriculture, structural changes |
Abstrakt | W artykule dokonano analizy dynamiki oraz struktury zobowiązań kredytowych rolników wobec banków w Polsce w latach 1996-2018. Zadłużenie kredytowe rolników przedstawiono na tle przemian strukturalnych i koniunktury w rolnictwie. Założono, że korzystna koniunktura w rolnictwie stymuluje wzrost zadłużenia rolników w bankach. Podobnie założono, że proces koncentracji struktury agrarnej oraz wzrost technicznego uzbrojenia pracy i technicznego uzbrojenia ziemi będą czynnikami sprzyjającymi wzrostowi zadłużenia kredytowego rolników. Badania nie dały jednoznacznej odpowiedzi na postawione tezy badawcze. Ujawniono dodatnią współzmienność pomiędzy zadłużeniem kredytowym rolników a koniunkturą w rolnictwie, a także procesem substytucji nakładów pracy i ziemi przez nakłady kapitału. Analiza regresji wykazała, że stymulantą zadłużenia kredytowego są nakłady inwestycyjne w rolnictwie, natomiast koncentracja struktury agrarnej oraz poprawa relacji ziemia/praca prowadzi do zmniejszenia przyrostów zadłużenia. |
Abstract | The paper presents an analysis of the dynamics and structure of farmers' credit obligations towards banks in Poland in 1996-2018. The credit debt of farmers is presented against the background of the structural changes and economic fluctuations in agriculture. It was assumed that a favorable economic situation in agriculture stimulates the growth in farmers' indebtedness to banks. Similarly, it was assumed that the process of increasing concentration within the agrarian structure and the increase in the technical equipment of labor and technical equipment of land would be factors conducive to the growth in farmers' credit debt. The research did not give a definite answer to the research thesis. A positive correlation between farmers' credit debt and economic fluctuations in agriculture was revealed, as well as the process of substitution of labor and land inputs by capital expenditures. Regression analysis showed that investment stimulus in agriculture is the stimulus of credit debt, while increased concentration within the agrarian structure and the improvement of the land/work relationship leads to a reduction in debt increases. |
Cytowanie | Kata R. (2020) Zadłużenie rolników w Polsce w aspekcie przemian strukturalnych i koniunktury w rolnictwie .Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 23(72): 33-44 |
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Pełny tekst | PEFIM_2020_n72_s33.pdf |
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Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Sołtyk P. IMPACT OF SUBSIDIES ON THE FINANCIAL POSITION OF LOCAL GOVERNMENT BUDGETARY ESTABLISHMENTS IN POLAND
Autor | Piotr Sołtyk |
Tytuł | IMPACT OF SUBSIDIES ON THE FINANCIAL POSITION OF LOCAL GOVERNMENT BUDGETARY ESTABLISHMENTS IN POLAND |
Title | Wpływ dotacji na sytuację finansową samorządowych zakładów budżetowych w Polsce |
Słowa kluczowe | local government, budgetary establishment, subsidy, revenues, budget of local government, costs of budgetary establishments |
Key words | samorząd lokalny, budżet, dotacja, przychody, budżet samorządu, koszty zakładów budżetowych. |
Abstrakt | The article presents an assessment of the impact of subsidies received from the budget of a local government unit on the financial situation of local government budgetary establishments in Poland. As a result of the change in the financial law in 2009, budgetary establishments operate only at the local government level. Despite the fact that legislators decided that the sphere of tasks of budgetary establishments is strictly defined in the law, it is justified to assess the impact of the subjective subsidy transferred from the local government budget on the generated revenues. The article verifies the hypothesis, that the amount of the subsidy depends on the generated revenues. The hypothesis was verified using Pearson’s linear correlation coefficient vector and Kruskal-Wallis analysis of variance. All analyses were performed with the Statistica v.12 package. |
Abstract | Artykuł sprowadza się do oceny wpływu dotacji otrzymanych z budżetu jednostki samorządu terytorialnego na sytuację finansową samorządowych instytucji budżetowych w Polsce. W wyniku zmiany prawa finansowego w 2009 r. Zakłady budżetowe działają wyłącznie na poziomie samorządu terytorialnego. Pomimo faktu, że ustawodawcy zdecydowali, że sfera zadań zakładów budżetowych jest ściśle określona w prawie, uzasadniona jest ocena wpływu subiektywnej subwencji przekazywanej z budżetu samorządu terytorialnego na generowane przychody. Artykuł weryfikuje hipotezę, zgodnie z którą kwota dotacji zależy od generowanych przychodów. Hipotezę zweryfikowano za pomocą wektora współczynnika korelacji liniowej Pearsona i analizy wariancji Kruskala-Wallisa. Wszystkie analizy przeprowadzono z pakietem Statistica v.12. |
Cytowanie | Sołtyk P. (2020) IMPACT OF SUBSIDIES ON THE FINANCIAL POSITION OF LOCAL GOVERNMENT BUDGETARY ESTABLISHMENTS IN POLAND.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 23(72): 156-167 |
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Pełny tekst | PEFIM_2020_n72_s156.pdf |
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Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Davydenko N., Olifer I., Wasilewska N., Wasilewski M. THE SHADOW ECONOMY AND ITS IMPACT ON A COUNTRY’S FINANCIAL POTENTIAL
Autor | Nadiia Davydenko, Ivan Olifer, Natalia Wasilewska, Mirosław Wasilewski |
Tytuł | THE SHADOW ECONOMY AND ITS IMPACT ON A COUNTRY’S FINANCIAL POTENTIAL |
Title | Szara strefa i jej wpływ na potencjał finansowy kraju |
Słowa kluczowe | shadow economy, financial potential, developing countries, advanced economies, corruption. |
Key words | szara strefa, potencjał finansowy, kraje rozwijające się, gospodarki rozwinięte, korupcja. |
Abstrakt | The aim of the article is to reveal the essence of the shadow economy and its impact on the financial potential of a country. We have discovered that the shadow economy is an objective phenomenon which is inherent in the economic systems of all countries, and that its level is determined by the level of development of the economic system, the difficulty of identifying all possible variants of the shading processes, and the moral and cultural characteristics of the country. It has been established that the shadow economy plays a major role in developing countries and that the level of the shadow economy in advanced economies is significantly lower. Thus, due to the results of the correlation-regression analysis, an inverse relationship between the level of GDP and the shadow economy was established. A system of measures aimed at preventing and combating corruption is proposed. |
Abstract | Celem opracowania jest określenie istoty szarej strefy i jej wpływu na potencjał finansowy kraju. Stwierdzono, że szara strefa jest zjawiskiem obiektywnym, nieodłącznym dla systemów gospodarczych wszystkich krajów. Poziom szarej strefy jest determinowany stopniem rozwoju systemu gospodarczego, trudnością w zidentyfikowaniu wszystkich możliwych wariantów procesów w jej ramach oraz moralnością, a nawet kulturą charakteryzującą dany kraj. Ustalono, że szara strefa odgrywa istotną rolę w krajach rozwijających się, natomiast jej poziom w gospodarkach rozwiniętych jest znacznie niższy. Na podstawie wyników analizy korelacji-regresji ustalono odwrotną zależność między poziomem PKB a wielkością szarej strefy. Zaproponowano system środków mających na celu zapobieganie i zwalczanie korupcji. |
Cytowanie | Davydenko N., Olifer I., Wasilewska N., Wasilewski M. (2020) THE SHADOW ECONOMY AND ITS IMPACT ON A COUNTRY’S FINANCIAL POTENTIAL .Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 31-42 |
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Pełny tekst | PEFIM_2020_n73_s31.pdf |
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4. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Bereziński S., Rokicki T. FINANCING OF LINEAR ROAD INFRASTRUCTURE IN POLAND
Autor | Stanisław Bereziński, Tomasz Rokicki |
Tytuł | FINANCING OF LINEAR ROAD INFRASTRUCTURE IN POLAND |
Title | Finansowanie liniowej infrastruktury drogowej w Polsce |
Słowa kluczowe | infrastructure, road transport, road expenditure, European funds |
Key words | infrastruktura, transport drogowy, wydatki na drogi, fundusze europejskie |
Abstrakt | The main purpose of the paper was to identify and present the situation and changes in the level of expenditure on public roads in Poland, taking into account the division of the country into voivodships. The data concerned the period from 2005 to 2017. Sources of materials were the analysis of available literature in the field of road transport, legal acts, data from the CSO database. The comparative method was used in the paper, dynamics indicators were evaluated, the Gini concentration coefficient was calculated and the degree of concentration was presented using the Lorenz curve. Pearson's linear correlation coefficients were also used. A descriptive, tabular and graphic method were used to present the results. Investment outlays on roads apply to both the construction of new roads and the repair of existing ones. Between 2005-2017, the length of public roads in Poland increased by 11% to 422,000 km. Changes in individual voivodships and in subsequent years varied. The largest increase in road length occurred in Podlaskie and Lublin, while the smallest was in Opole. The largest expenditure on public roads was incurred in 2009-2011, which was related to the preparation for the Euro 2012 football tournament, which took place in Poland and Ukraine. Investment outlays were related to the level of economic development of voivodships and the resources of public roads. The only exception to this rule occurred in 2009-2011, when many road investments were centrally financed by the government. |
Abstract | Celem głównym pracy było rozpoznanie i przedstawienie sytuacji oraz zmian w poziomie wydatków na drogi publiczne. Badania dotyczyły Polski, z uwzględnieniem podziału na województwa. Dane dotyczyły lat 2005-2017. Źródła materiałów stanowiła analiza dostępnej literatury z zakresu transportu drogowego, akty prawne, dane z bazy danych GUS. W pracy wykorzystano metodę porównawczą, posługiwano się wskaźnikami dynamiki, obliczono współczynnik koncentracji Giniego oraz przedstawiono stopień koncentracji za pomocą krzywej Lorenza. Zastosowano również współczynniki korelacji liniowej Pearsona. Do prezentacji wyników badań zastosowano metodę opisową, tabelaryczna i graficzną. Nakłady inwestycyjne na drogi dotyczą zarówno budowy nowych dróg, jak również naprawy już istniejących. W latach 2005-2017 długość dróg publicznych w Polsce wzrosła o 11% do 422 tys. km. Zmiany w poszczególnych województwach i latach były zróżnicowane. Największy przyrost dróg nastąpił w województwach podlaskim i lubelskim, a najmniejszy w opolskim. Największe nakłady inwestycyjne na drogi publiczne poniesiono w latach 2009-2011, co było związane z przygotowaniem do turnieju piłkarskiego Euro 2012, który odbył się w Polsce i na Ukrainie. Nakłady inwestycyjne były związane z poziomem rozwoju gospodarczego województw oraz z zasobem dróg publicznych. Jedyny wyjątek od tej reguły wystąpił w latach 2009-2011, gdy centralnie finansowano wiele inwestycji drogowych. |
Cytowanie | Bereziński S., Rokicki T. (2020) FINANCING OF LINEAR ROAD INFRASTRUCTURE IN POLAND.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 205-213 |
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Pełny tekst | PEFIM_2020_n73_s205.pdf |
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Ekonomika i Organizacja Logistyki, 2020 |
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Pavlić Skender H., Štefanić A., Zaninović P. The logistics performance analysis in European Union – EU-15 vs. EU-13
Autor | Helga Pavlić Skender, Antonela Štefanić, Petra Zaninović |
Tytuł | The logistics performance analysis in European Union – EU-15 vs. EU-13 |
Title | Analiza wydajności logistycznej w Unii Europejskiej – UE-15 vs. UE-13 |
Słowa kluczowe | logistics, logistics performance index – LPI, European Union, EU-15, EU-13 |
Key words | logistyka, wskaźnik wydajności logistyki – LPI, Unia Europejska, EU-15, EU-13 |
Abstrakt | Logistics accounts for 14% of total GDP in the European Union countries, which shows the importance of the logistics service and performance of the European Union countries. Logistics market of EU-15 countries is well developed while most of EU-13 countries need to address poor railway infrastructure and other political issues related to corruption and lack of competitiveness. However, EU-13 economies are growing fast and can benefit even more from the improvements in logistics market. Therefor this paper aims to analyze logistics performance in the European Union, distinguishing between EU-15 and EU-13 countries. For our analysis we use Worlds Bank Logistics Performance Index (LPI) which is a tool that measures the quality, velocity, accuracy and simplicity of the logistics processes. The analysis covers the period from 2010 to 2018. The results of our analysis show that some EU-13 countries are lagging behind EU-15 countries in terms of logistics performance, while countries like Poland, Czech Republic and Hungary are the best logistics performers among all EU-13 countries. Results also shows us correlation between logistics performance and economic growth which imply that EU-13 countries must take step forward in their logistics performance in order to integrate in regional and global supply chain and thus enhance their economic position and competitiveness. |
Abstract | Logistyka stanowi 14% całkowitego PKB krajów Unii Europejskiej, co wskazuje na duże znaczenie tego sektora dla wyników ekonomicznych krajów członkowskich Unii Europejskiej. Rynek logistyczny krajów UE-15 jest dobrze rozwinięty, podczas gdy większość krajów UE-13 powinno podjąć działania dla rozwoju słabej infrastruktury kolejowej oraz pochylić się nad kwestiami politycznymi związanymi z korupcją, czy brakiem konkurencyjności. Szybko rozwijające się gospodarki UE-13 mogą jednak skorzystać na poprawie rynku usług sektora logistycznego. Celem artykułu było określenie wydajności sektora logistyki w Unii Europejskiej z podziałem na kraje UE-15 i UE-13. W pracy wykorzystano wskaźnik wydajności logistyki według Banku Światowego (Logistics Performance Index – LPI), który jest narzędziem określającym jakość, szybkość, dokładność i prostotę procesów logistycznych. Analiza objęła okres od 2010 do 2018 roku. Wyniki wskazują, że niektóre kraje UE-13 pozostają w tyle za członkami UE-15 pod względem wyników logistycznych, podczas gdy kraje takie jak Polska, Czechy i Węgry osiągają najlepsze wyniki logistyczne wśród krajów UE-13. Wyniki wskazują również na korelację między wynikami logistyki a wzrostem gospodarczym. To oznacza, że kraje UE-13 muszą zrobić krok naprzód w swoich wynikach logistycznych, aby zintegrować się z regionalnym i globalnym łańcuchem dostaw, a tym samym poprawić swoją pozycję gospodarczą i konkurencyjność. |
Cytowanie | Pavlić Skender H., Štefanić A., Zaninović P. |
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Pełny tekst | EIOL_2020_T5_n3_s5.pdf |
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Economic Sciences for Agribusiness and Rural Economy, 2020 |
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Kotyza P., Smutka L. DRIVING FORCE OF ORGANIC FARMING IN THE CZECH REPUBLIC – MARKET DEMAND OR FINANCIAL SUPPORT?
Autor | Pavel Kotyza, Luboš Smutka |
Tytuł | DRIVING FORCE OF ORGANIC FARMING IN THE CZECH REPUBLIC – MARKET DEMAND OR FINANCIAL SUPPORT? |
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Słowa kluczowe | correlation, Czech Republic, organic agriculture, financial support, organic market |
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Abstrakt | In the Czech Republic, and possibly in many other eastern European countries, organic production still has potential for further growth. Over the past three decades, organic farming has become an essential alternative to farming practices. An increase was observed among acreage, the number of farms, and also consumer spending on organic production. After the EU accession, organic farming became part of the agricultural policy related to other than production function and therefore supported by EU finance. The contribution aimed to derive which of the two factors was more important for organic farming expansion - the pull factor (market demand) or the push factor (financial support). Using Pearson's correlation coefficient stronger relationship was observed for financial aid, which was a driving force for the organic agriculture spread in the Czech Republic. |
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Cytowanie | Kotyza P., Smutka L. |
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Pełny tekst | ESARE_2020_n4_s70.pdf |
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Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Bakos I., Khademi-Vidra A. Alternative Local Food Shopping Communities in Hungary
Autor | Izabella Bakos, Anikó Khademi-Vidra |
Tytuł | Alternative Local Food Shopping Communities in Hungary |
Title | Alternative Local Food Shopping Communities in Hungary |
Słowa kluczowe | local food, consumer communities, food consumer behaviour, questionnaire study, cluster analysis |
Key words | local food, consumer communities, food consumer behaviour, questionnaire study, cluster analysis |
Abstrakt | As a result of concerns about the long-term sustainability of globalized retail trade and the stronger presence of health conscious consumer behaviour, governments and groups of conscious consumers worldwide are increasingly focusing on the promotion and development of local food systems and small-scale retail chains and the production of quality local food products to promote the market. In our paper, we would like to give an overview of community-led alternative types of local food systems, with particular attention to shopping community-type consumer and consumer communities. We also describe the main results of our primary research in the population and the shopping community. During the questionnaire we revealed general consumer behaviour and the demand and attitude of local food, the popularity of the customer communities in the settlement of the respondents. In the survey conducted among members of the consumer community, we looked at the analytical areas designated as a target in the population questionnaire for the purpose of comparability and our aim was to explore the sociometrics and lifestyles of communities as well as their community experiences and possible developments. Our hypothesis is that there is a close correlation between the respondents with higher education and income and the preferences of local food. Furthermore, it is assumed that there is a significant difference between the food consumption behaviors of the two samples examined. |
Abstract | As a result of concerns about the long-term sustainability of globalized retail trade and the stronger presence of health conscious consumer behaviour, governments and groups of conscious consumers worldwide are increasingly focusing on the promotion and development of local food systems and small-scale retail chains and the production of quality local food products to promote the market. In our paper, we would like to give an overview of community-led alternative types of local food systems, with particular attention to shopping community-type consumer and consumer communities. We also describe the main results of our primary research in the population and the shopping community. During the questionnaire we revealed general consumer behaviour and the demand and attitude of local food, the popularity of the customer communities in the settlement of the respondents. In the survey conducted among members of the consumer community, we looked at the analytical areas designated as a target in the population questionnaire for the purpose of comparability and our aim was to explore the sociometrics and lifestyles of communities as well as their community experiences and possible developments. Our hypothesis is that there is a close correlation between the respondents with higher education and income and the preferences of local food. Furthermore, it is assumed that there is a significant difference between the food consumption behaviors of the two samples examined. |
Cytowanie | Bakos I., Khademi-Vidra A. (2019) Alternative Local Food Shopping Communities in Hungary.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 2: 7-21 |
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Pełny tekst | PRS_2019_T19(34)_n2_s7.pdf |
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Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Gurkowa K., Kowalska A. Changes in Potato Production and Consumption in Poland in 2001-2019
Autor | Klaudia Gurkowa, Anna Kowalska |
Tytuł | Changes in Potato Production and Consumption in Poland in 2001-2019 |
Title | Changes in Potato Production and Consumption in Poland in 2001-2020 |
Słowa kluczowe | potato, production, consumption, evolution |
Key words | potato, production, consumption, evolution |
Abstrakt | The aim of the article is to analyse and assess changes in the potato market in Poland. The area of potato cultivation in Poland is gradually decreasing. The scale of this phenomenon is very large - unparalleled in any other country. Unprocessed, fresh potato are replaced more and more often with ready-made preserves and cereal products, e.g. groats, rice and pasta. The study uses statistical materials published by The Institute of Agricultural and Food Economics - National Research Institute and the Central Statistical Office. The time range of these data covers the years 2001-2019. During the development of the data, the basic methods of statistical analysis were used, i.e. correlation, change dynamics, arithmetic mean and standard deviation. |
Abstract | The aim of the article is to analyse and assess changes in the potato market in Poland. The area of potato cultivation in Poland is gradually decreasing. The scale of this phenomenon is very large - unparalleled in any other country. Unprocessed, fresh potato are replaced more and more often with ready-made preserves and cereal products, e.g. groats, rice and pasta. The study uses statistical materials published by The Institute of Agricultural and Food Economics - National Research Institute and the Central Statistical Office. The time range of these data covers the years 2001-2019. During the development of the data, the basic methods of statistical analysis were used, i.e. correlation, change dynamics, arithmetic mean and standard deviation. |
Cytowanie | Gurkowa K., Kowalska A. (2019) Changes in Potato Production and Consumption in Poland in 2001-2019.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 3: 46-56 |
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Pełny tekst | PRS_2019_T19(34)_n3_s46.pdf |
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Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2019 |
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Kozak S., Wierzbowska A. BANK EFFICIENCY AND CONCENTRATION OF THE BANKING SECTOR IN THE CEE COUNTRIES
Autor | Sylwester Kozak, Agata Wierzbowska |
Tytuł | BANK EFFICIENCY AND CONCENTRATION OF THE BANKING SECTOR IN THE CEE COUNTRIES |
Title | Efektywność banków a koncentracja sektora bankowego w krajach EŚW |
Słowa kluczowe | CEE countries, bank, efficiency, market concentration. |
Key words | kraje EŚW, bank, efektywność, koncentracja rynku. |
Abstrakt | The relationship between the structure of the banking market and efficiency of banks has been a subject of many studies for several decades. There is no uniform opinion on the correlation between these variables. The goal of the research is to investigate this relationship for 96 banks operating in eleven CEE countries in the years of 2005-2017. Bank efficiency scores are assessed with the SFA method and regressed with bank and macroeconomic characteristics. The results show that the efficiency of banks is positively affected by the concentration of the market on which they operate, as well as by the size of individual banks. This relationship is valid for all examined countries. Additionally, bank efficiency is positively impacted by improving the banking system. On the other hand, the GDP per capita, inflation rate and bank capital ratio are not conducive to bank efficiency. |
Abstract | Zależność między strukturą rynku bankowego a efektywnością banków jest przedmiotem wielu badań od kilku dziesięcioleci. Większość z nich wskazuje na dodatnią korelację między tymi zmiennymi. Celem badania jest zbadanie tej relacji dla 96 banków działających w jedenastu krajach Europy Środkowo-Wschodniej w latach 2005-2017. Efektywność banków jest wyznaczana przy pomocy metody SFA a następnie poddana regresji względem czynników makroekonomicznych i indywidualnych dla banków. Wyniki badania wskazują, że na efektywność banków pozytywnie wpływa koncentracja rynku, a także wielkość ich aktywów. Zależność ta jest obecna we wszystkich badanych krajach. Dodatkowo stwierdzono, że na efektywność banków pozytywnie wpływa rozwój systemu bankowego. Natomiast przeciwnie, PKB pc, stopa inflacji i współczynnik kapitałowy banku nie sprzyjają wydajności banków. |
Cytowanie | Kozak S., Wierzbowska A. (2019) BANK EFFICIENCY AND CONCENTRATION OF THE BANKING SECTOR IN THE CEE COUNTRIES.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 22(71): 77-89 |
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Pełny tekst | PEFIM_2019_n71_s77.pdf |
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Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Kiełbasa B., Popa D., Sargo A., Trojak M. New Approaches to Developing the Integral Indicator Methodology for Estimating the Financial Efficiency of Agricultural Entities in Poland, the Republic of Moldova, and EU Countries
Autor | Barbara Kiełbasa, Daniela Popa, Aliona Sargo, Mariusz Trojak |
Tytuł | New Approaches to Developing the Integral Indicator Methodology for Estimating the Financial Efficiency of Agricultural Entities in Poland, the Republic of Moldova, and EU Countries |
Title | New Approaches to Developing the Integral Indicator Methodology for Estimating the Financial Efficiency of Agricultural Entities in Poland, the Republic of Moldova, and EU Countries |
Słowa kluczowe | agro-sector, European Union, correlation and regression, financial efficiency, food product, financial economy, productivity & profitability, resource efficiency |
Key words | agro-sector, European Union, correlation and regression, financial efficiency, food product, financial economy, productivity & profitability, resource efficiency |
Abstrakt | Economic literature pays a great deal of attention to economic and financial efficiency, expressed in terms of competition, concentration, productivity and profitability. This paper provides an all-embracing framework for the various existing theories in this area and illustrates these theories with practical applications. Currently, changing the size of the production potential in agricultural units in the Republic of Moldova depends to a great extent on the influence of different trends in the modification of production resources: the reduction of labor resources and agricultural land, quantitative and qualitative changes in fixed assets, and in current assets, etc.The notion of resource potential means the totality of the volume of all resources (natural, labor, material, intellectual, information, etc.) on specific enterprises, territories, branches, regions. Evaluating a broad field of research, the paper describes profit maximizing food products and demonstrates how several widely-used products can be fit into this framework. The authors also present an overview of the current major trends in the food sector and relate them to the assumptions for food products, thereby displaying their relevance and timeliness. The results include a set of recommendations for future research on this topic.The design, methodology and approach of this research is to explain why efficiency can help obtain a profit surplus, and to measure this efficiency. For quality of methodology we apply a range of statistical methods, as well as the strategic capability of organisations – made up of resources and competences. One way to approach the stategic capability of an organisation is to consider its strengths and weaknesses (for example, where it has a competitive advantage, profit, efficiency or disadvantage). Based on our research and results, we sought to understand the concepts of financial effciency and to apply these concepts to practical situations. At the start of each analysis entrepreneurship plays an important role. Most organisations have to innovate constantly to obtain profit and efficiency for food products. They need to be first into a market, or simply a follower of customers in developing new products and services. Original studies in Moldova and Poland regarding farm concentration in terms of Gini Coefficient, Gini Index and Concentration Index of the utilized agricultural area. Original calculus formula to determine the Concentration Index of the UAA for the top 10% largest farms in Moldova and UK. |
Abstract | Economic literature pays a great deal of attention to economic and financial efficiency, expressed in terms of competition, concentration, productivity and profitability. This paper provides an all-embracing framework for the various existing theories in this area and illustrates these theories with practical applications. Currently, changing the size of the production potential in agricultural units in the Republic of Moldova depends to a great extent on the influence of different trends in the modification of production resources: the reduction of labor resources and agricultural land, quantitative and qualitative changes in fixed assets, and in current assets, etc.The notion of resource potential means the totality of the volume of all resources (natural, labor, material, intellectual, information, etc.) on specific enterprises, territories, branches, regions. Evaluating a broad field of research, the paper describes profit maximizing food products and demonstrates how several widely-used products can be fit into this framework. The authors also present an overview of the current major trends in the food sector and relate them to the assumptions for food products, thereby displaying their relevance and timeliness. The results include a set of recommendations for future research on this topic.The design, methodology and approach of this research is to explain why efficiency can help obtain a profit surplus, and to measure this efficiency. For quality of methodology we apply a range of statistical methods, as well as the strategic capability of organisations – made up of resources and competences. One way to approach the stategic capability of an organisation is to consider its strengths and weaknesses (for example, where it has a competitive advantage, profit, efficiency or disadvantage). Based on our research and results, we sought to understand the concepts of financial effciency and to apply these concepts to practical situations. At the start of each analysis entrepreneurship plays an important role. Most organisations have to innovate constantly to obtain profit and efficiency for food products. They need to be first into a market, or simply a follower of customers in developing new products and services. Original studies in Moldova and Poland regarding farm concentration in terms of Gini Coefficient, Gini Index and Concentration Index of the utilized agricultural area. Original calculus formula to determine the Concentration Index of the UAA for the top 10% largest farms in Moldova and UK. |
Cytowanie | Kiełbasa B., Popa D., Sargo A., Trojak M. (2019) New Approaches to Developing the Integral Indicator Methodology for Estimating the Financial Efficiency of Agricultural Entities in Poland, the Republic of Moldova, and EU Countries.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 4: 103-112 |
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Pełny tekst | PRS_2019_T19(34)_n4_s103.pdf |
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11. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2018 |
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Juszczyk S. LISTING OF SHARES OF SOME COMMERCIAL BANKS AND FINANCIAL SERVICES COMPANIES IN POLAND
Autor | Sławomir Juszczyk |
Tytuł | LISTING OF SHARES OF SOME COMMERCIAL BANKS AND FINANCIAL SERVICES COMPANIES IN POLAND |
Title | NOTOWANIA AKCJI WYBRANYCH BANKÓW KOMERCYJNYCH I SPÓŁEK USŁUG FINANSOWYCH W POLSCE |
Słowa kluczowe | share price, correlation, econometric modeling |
Key words | ceny akcji, związek korelacyjny, modelowanie ekonometryczne |
Abstrakt | The purpose of the research was to identify the volatilities of daily quotes of banks and financial services companies listed on Warsaw Stock Exchange in the six-year period ie 2011-2016. It was found that the volatility of the stock price of the eCard was the strongest correlated with BPH stock price volatility, while the volatility of KREDYTIN stock prices was strongly correlated with the volatility of BZ WBK shares, ING and PKO BP. The strongest correlation between the stock prices of banks and the surveyed financial services companies was on the day of their listing. Unlike banks, financial services companies are highly diversified. |
Abstract | Celem badań było rozpoznanie zmienności dziennych notowań cen akcji banków oraz spółek z sektora usług finansowych notowanych na GPW w Warszawie w sześcioletnim okresie badawczym tj. w latach 2011-2016. Ustalono m.in., że zmienność notowań cen akcji spółki eCard najsilniej była skorelowana ze zmiennością cen akcji BPH, zmienność zaś cen akcji KREDYTIN najsilniej była skorelowana ze zmiennością cenami akcji BZ WBK, ING i PKO BP. Najsilniejsza związek między notowaniami cen akcji banków i badanych spółek usług finansowych występowała w dniu ich notowania. W przeciwieństwie do banków, przedsiębiorstwa sektora usług finansowych są silnie zróżnicowane. |
Cytowanie | Juszczyk S. (2018) LISTING OF SHARES OF SOME COMMERCIAL BANKS AND FINANCIAL SERVICES COMPANIES IN POLAND.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 19(68): 43-51 |
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Pełny tekst | PEFIM_2018_n68_s43.pdf |
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12. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2018 |
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Kasprzak-Czelej A. Metale szlachetne jako klasa aktywów
Autor | Anna Kasprzak-Czelej |
Tytuł | Metale szlachetne jako klasa aktywów |
Title | PRECIOUS METALS AS AN ASSETS CLASS |
Słowa kluczowe | metale szlachetne, klasy aktywów, ryzyko walutowe, inwestowanie |
Key words | precious metals, assets class, currency risk, investment |
Abstrakt | W niniejszym artykule, celem stwierdzenia czy metale szlachetne mogą stanowić oddzielną klasę aktywów dla inwestora lokującego środki w PLN, przeprowadzono analizę korelacji oraz rozkładu stóp zwrotu. Uzyskane wyniki sugerują w szczególności brak wystarczającej homogeniczności wśród badanych metali szlachetnych oraz zauważalny podział na dwie grupy: złoto i srebro z jednej strony oraz pallad i platynę z drugiej. |
Abstract | The aim of the paper was to determine whether the precious metals may be considered as an separate asset class for an investor investing in PLN. The analysis of the correlation and the distribution of returns were conducted. The results suggest in particular the lack of sufficient homogeneity among the investigated metals to form an asset class, and noticed similarities between gold and silver and palladium and platinum. |
Cytowanie | Kasprzak-Czelej A. (2018) Metale szlachetne jako klasa aktywów.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 19(68): 52-61 |
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Pełny tekst | PEFIM_2018_n68_s52.pdf |
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13. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2018 |
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Klonowska A. Analiza zmienności makroekonomicznych wielkości finansowych na przykładzie wybranych krajów Unii Europejskiej
Autor | Alina Klonowska |
Tytuł | Analiza zmienności makroekonomicznych wielkości finansowych na przykładzie wybranych krajów Unii Europejskiej |
Title | ANALYSIS OF THE VARIABILITY OF MACROECONOMIC FINANCIAL QUANTITIES WITH THE EXAMPLE OF SELECTED EUROPEAN UNION COUNTRIES |
Słowa kluczowe | kryzys gospodarczy, wskaźniki fiskalne, wskaźniki makroekonomiczne. |
Key words | economic crisis, fiscal indicators, macroeconomic indicators |
Abstrakt | Celem artykułu jest próba oceny perspektyw wejścia na ścieżkę równowagi i stabilności makroekonomicznej w państwach UE. W pracy postawiono hipotezę: okres odbudowy gospodarczej państw UE po 2009 r. rodzi realne przesłanki wejścia na ścieżkę równowagi i stabilności makroekonomicznej w przyszłej perspektywie. Do zbadania zależności między popytem krajowym i PKB oraz wysokością eksportu i PKB wykorzystano współczynnik korelacji Pearsona. Natomiast ocenę sytuacji finansowej państw przeprowadzono na podstawie miar interwencji fiskalnej. Okres badawczy obejmuje lata 2000 – 2016. W rozdziale pierwszym wyjaśniono przesłanki wyboru grupy badawczej i zastosowane metody badawcze. W rozdziale drugim dokonano analizy kształtowania się wskaźników ekonomicznych. Zmiany w zakresie wskaźników fiskalnych ujęto w rozdziale trzecim. W podsumowaniu przedstawiono najważniejsze konkluzje wynikające z przeprowadzonych badań. |
Abstract | The purpose of the article is an attempt to assess the prospects of entering the path of macroeconomic balance and stability in EU countries. A hypothesis was made in the work: the period of economic recovery of EU countries after 2009 raises real conditions for entering the path of macroeconomic balance and stability. The study of the relationship between domestic demand and GDP as well as the level of exports and GDP was carried out using the Pearson correlation coefficient. The assessment of the financial condition of the countries was made on the basis of measures of fiscal intervention. The research period covers the years 2000 – 2016. The first chapter explains the conditions for choosing a research group and applied research methods. The second chapter analyses the development of economic indicators. Changes in the scope of fiscal indicators are included in the third chapter. The summary presents the most important conclusions resulting from the conducted research. |
Cytowanie | Klonowska A. (2018) Analiza zmienności makroekonomicznych wielkości finansowych na przykładzie wybranych krajów Unii Europejskiej.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 19(68): 73-82 |
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Pełny tekst | PEFIM_2018_n68_s73.pdf |
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14. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2018 |
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Standar A. Realizacja wydatków inwestycyjnych a kondycja finansowa JST. Przykład gmin wiejskich województwa wielkopolskiego
Autor | Aldona Standar |
Tytuł | Realizacja wydatków inwestycyjnych a kondycja finansowa JST. Przykład gmin wiejskich województwa wielkopolskiego |
Title | IMPLEMENTATION OF INVESTMENT EXPENDITURES VERSUS FINANCIAL CONDITION OF LOCAL GOVERNMENTS. AN EXAMPLE OF RURAL COMMUNES IN THE WIELKOPOLSKA PROVINCE |
Słowa kluczowe | analiza wariancji, JST, kondycja finansowa, metoda TOPSIS, wydatki inwestycyjne. |
Key words | variance analysis, local governments, TOPSIS method, investment expenditures. |
Abstrakt | Celem badania było sprawdzenie zależności pomiędzy kondycją finansową a realizacją wydatków inwestycyjnych na przykładzie gmin wiejskich województwa wielkopolskiego. W pierwszej części przedstawiono kształtowanie się badanego wskaźnika wydatków inwestycyjnych na mieszkańca uwzględniając miary statystyki opisowej. Następnie pogrupowano gminy według badanej miary i porównano z syntetycznym miernikiem kondycji finansowej. Kolejno zbadano zależność pomiędzy tymi miarami, a wynik świadczący o jej wystąpieniu stał się podstawą dalszej analizy. Ustalono, że to gminy o najkorzystniejszej sytuacji finansowej zrealizowały największe inwestycje, których wynik był statystycznie istotnie wyższy niż pozostałych grup JST. W ostatniej części udowodniono, że wspomniana zależność występuje również pomiędzy analizowanym wskaźnikiem wydatków inwestycyjnych a zmiennymi finansowymi świadczącymi o kondycji finansowej gmin. |
Abstract | The aim of the study was to examine the relationship between financial condition and the implementation of investment expenditures on the example of rural communes of the Wielkopolska province. The first part presents the development of the investment expenditure per capita by means of the descriptive statistics. Subsequently, the communes was grouped according to the surveyed measure and compared with the synthetic financial condition measure. The correlation between these measures was examined successively and the result of its occurrence became the basis for deepening the analysis. It was found that the communes with the most favorable financial situation achieved the largest investments, the result of which was statistically significantly higher than the other groups of local government units. In the last part it was proved that the mentioned dependency also occurs between the analyzed investment expenditure index and the financial variables giving the financial condition of communes. |
Cytowanie | Standar A. (2018) Realizacja wydatków inwestycyjnych a kondycja finansowa JST. Przykład gmin wiejskich województwa wielkopolskiego.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 19(68): 248-261 |
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Pełny tekst | PEFIM_2018_n68_s248.pdf |
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15. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Bieniek - Majka M., Matuszczak A. HORIZONTAL INTEGRATION PROCESSES IN THE LIGHT OF THE PARADIGM OF INDUSTRIAL AND SUSTAINABLE DEVELOPMENT OF AGRICULTURE – CASE STUDY OF FRUIT AND VEGETABLE PRODUCERS
Autor | Maryla Bieniek - Majka, Anna Matuszczak |
Tytuł | HORIZONTAL INTEGRATION PROCESSES IN THE LIGHT OF THE PARADIGM OF INDUSTRIAL AND SUSTAINABLE DEVELOPMENT OF AGRICULTURE – CASE STUDY OF FRUIT AND VEGETABLE PRODUCERS |
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Słowa kluczowe | industrial agriculture, sustainable agriculture, fruit and vegetable producer groups and organisations |
Key words | |
Abstrakt | The aim of this article was to initiate a discussion on the possibility of implementing the paradigm of sustainable agriculture by integrated fruit and vegetable producers. On the basis of the literature review the concept of industrial and sustainable agriculture and the dual model combining the advantages of both ideas were presented. Research has shown that institutional solutions have inspired horticulturists to join producer groups/ /organisations, resulting in an increase in the number of products offered on the domestic and international market. The strength of the correlation analysed between the number of producer groups/organisations and the selected characteristics of the fruit and vegetable market showed that integrated producers have a greater impact on the vegetable market than fruit. This impact had the properties of industrial agriculture. The structure of Polish groups/organisations in terms of their number allows us to suppose that, as small, often family businesses, they have premises to implement the paradigm of sustainable agriculture using the dual model. However, such an idea requires further long-term institutional support. |
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Cytowanie | Bieniek - Majka M., Matuszczak A. |
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Pełny tekst | ESARE_2018_n1_s21.pdf |
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16. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Borychowski M. LABOUR PRODUCTIVITY IN THE LIQUID BIOFUELS SECTOR IN SELECTED EUROPEAN UNION COUNTRIES
Autor | Michal Borychowski |
Tytuł | LABOUR PRODUCTIVITY IN THE LIQUID BIOFUELS SECTOR IN SELECTED EUROPEAN UNION COUNTRIES |
Title | |
Słowa kluczowe | biofuels, production, turnover, job creation, labour productivity in the liquid biofuel sector |
Key words | |
Abstrakt | The development of the liquid biofuels sector has been dynamic for more than 10 years, but from the very beginning of this process has been accompanied by a number of controversies as the production and use of liquid biofuels have both positive and negative effects. These consequences primary concern socio-economic and environmental areas. The most important economic benefits are connected with production, turnover and employment in the biofuels industry and the development of agriculture through higher demand on agricultural commodities. The aim of the paper was to quantify labour productivity in the liquid biofuels sector in European Union countries. It is hypothesized that highly developed countries (measured by GDP per capita) have higher labour productivity in the liquid biofuels industry than poorer European Union countries. The second hypothesis states that countries with high liquid biofuel production have higher labour productivity than other countries. The period under research covered the years 2009–2015. The data are mainly from Eurostat, EurObserv’ER consortium and World Bank. This research provides the general conclusion that a high level of economic development is not accompanied by high labour productivity (two types) in the liquid biofuels sector (there is no significant positive correlation). The same applies to the relation between biofuel production volume and labour productivity. The research proves that a high level of GDP per capita or the big scale of biofuel production (and use) is not a determinant of high labour productivity in this sector. |
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Cytowanie | Borychowski M. |
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Pełny tekst | ESARE_2018_n1_s116.pdf |
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17. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Adamowicz M. EUROPEAN FUNDS FOR RURAL AREAS VERSUS REGIONAL CONVERGENCE OF AGRICULTURE IN POLAND
Autor | Mieczyslaw Adamowicz |
Tytuł | EUROPEAN FUNDS FOR RURAL AREAS VERSUS REGIONAL CONVERGENCE OF AGRICULTURE IN POLAND |
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Słowa kluczowe | convergence, rural areas, European Funds |
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Abstrakt | The objective of the work is the assessment of the phenomenon of convergence of agriculture in the provinces/ voivodeship (NUTS 2) in Poland in the years 2003–2014 in relation to the use of European funds designated for development of agriculture and rural areas. The study specified dimensions of support under the European Funds granted for agriculture and rural areas in individual regions, which were compared to the size of gross added value of agriculture, forestry, hunting and fishery. Within the analysis, data of the Agency for the Restructuring and Modernisation of Agriculture as well as The Local Data Bank of Central Statistical Office were used. Data regarding productivity of agriculture and other rural sectors in the regions as well as data on the used resources from the European funds were availed of in the assessment of the correlation between these expectations and the phenomena of sigma-convergence and beta-convergence in the regional system. The conducted analysis confirmed the occurrence of a phenomenon of convergence in the tested scope. |
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Cytowanie | Adamowicz M. |
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Pełny tekst | ESARE_2018_n1_s212.pdf |
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18. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Kedra A., Klapkiv L. RELATION BETWEEN SELECTED WEATHER FACTORS AND INSURANCE INDEMNITY IN UKRAINIAN AGRICULTURE
Autor | Arleta Kedra, Lyubov Klapkiv |
Tytuł | RELATION BETWEEN SELECTED WEATHER FACTORS AND INSURANCE INDEMNITY IN UKRAINIAN AGRICULTURE |
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Słowa kluczowe | insurance indemnity, weather variables, agriculture |
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Abstrakt | The present paper is devoted to examining if weather variables have a significant impact on the level of indemnity in examined agriculture insurances, i.e. insurance of winter crops. The authors will determine whether indicators as excessive rainfall and extreme temperatures (especially frost) contribute to crucial increase of insurance indemnity. According to currently existing theories, weather changes have vital consequences both for farmers and for insurers as they take over the risk. The goal of the present paper is to analyse strength and direction of correlation between weather variables and insurance indemnity in case of winter plants to state whether these influence amounts of money paid to farmers for their crops’ losses. |
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Cytowanie | Kedra A., Klapkiv L. |
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Pełny tekst | ESARE_2018_n1_s358.pdf |
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19. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Satoła Ł. MUNICIPAL INFRASTRUCTURE AND THE LEVEL OF FISCALISM IN LOCAL TAXES
Autor | Łukasz Satoła |
Tytuł | MUNICIPAL INFRASTRUCTURE AND THE LEVEL OF FISCALISM IN LOCAL TAXES |
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Słowa kluczowe | infrastructure, municipality, local taxes |
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Abstrakt | Municipalities are responsible for the condition of technical infrastructure installations, shaping the conditions of functioning of companies at the local level. The operation of municipal infrastructure generates costs that need to be financed by budgetary revenue. The aim of this paper is to identify the interdependencies between the level of municipal infrastructure provision and the level of fiscalism in property tax. The Technique for Order Preference by Similarity to Ideal Solution (TOPSIS) method was used for the synthetic assessment of the development of the municipal infrastructure. The analyses conducted confirmed the correlation between the condition of technical infrastructure and the level of fiscalism of municipalities. Municipalities with higher standard of public services related with technical infrastructure had higher property tax rates. A higher fiscalism level of municipalities is accepted if the installations allowing for a better standard of living and conducting business is provided. |
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Cytowanie | Satoła Ł. |
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Pełny tekst | ESARE_2018_n1_s370.pdf |
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20. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Kata R. AGRICULTURAL PRODUCTIVITY IN POLAND IN THE CONTEXT OF STRUCTURAL CHANGES IN THE SECTOR IN 2002–2016
Autor | Ryszard Kata |
Tytuł | AGRICULTURAL PRODUCTIVITY IN POLAND IN THE CONTEXT OF STRUCTURAL CHANGES IN THE SECTOR IN 2002–2016 |
Title | |
Słowa kluczowe | agriculture, production factors, productivity of land and labour |
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Abstrakt | This paper attempts to analyse the changes in labour and land productivity in agriculture in Poland resulting from changes to the production structures in this sector, particularly changes in the relationships between production factors, i.e. land, labour and capital. The analysis covered the years 2002–2016. It was found that this period saw important changes in agriculture expressed in the concentration of agrarian structure and the progressive substitution of land and labour by capital, which was reflected in the increase of work technical equipment and the rate of technical progress. There was also a progressive outflow of some of the labour resources from agriculture. A positive correlation between the productivity of land and labour and the said structural changes in agriculture was found. |
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Cytowanie | Kata R. |
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Pełny tekst | ESARE_2018_n2_s109.pdf |
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