21. |
Turystyka i Rozwój Regionalny, 2020 |
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Kusnanik N., Nurhasan N., Pambudi P. Sustainable development of sport tourism in Banyuwangi
Autor | Nining Kusnanik, Nurhasan Nurhasan, Panji Pambudi |
Tytuł | Sustainable development of sport tourism in Banyuwangi |
Title | |
Słowa kluczowe | sport tourism role, the effect on local content, sustainable development strategy |
Key words | |
Abstrakt | This research has an aim to examine the role of Sport Tourism through the program ofBanyuwangi festival (B-Fest) and the impact of local content and deciding sustainable strategyof Sport Tourism Development. This research uses descriptive associative research methodwith qualitative and quantitative approach. Data Collection method done by observation,direct interview, questionnaire and collect the data from related instance. The result of thisanalysis shows that: (1) Banyuwangi Festival Program (B-fest) successfully increase the numberof visitor in Kawah Ijen and Pulau Merah within total contribution of 75.9%; (2) The effectof sport tourism toward the change of local community in Kawah Ijen, on economic aspectcontribute 100%. On social aspect contribute 11.6%. Environmental aspect, edelweiss flowerno longer to be seen, Javan lutung and deer are rarely to be seen. Social Aspect contribute 2.6%toward people prosperity, 0.2% toward local satisfaction, 12.7% toward people participation;(3) Development strategy on sustainable sport tourism using the model of Sport tourismParticipation and oriented to tourism characteristic. |
Abstract | |
Cytowanie | Kusnanik N., Nurhasan N., Pambudi P. |
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Pełny tekst | TIRR_2020_n13_s117.pdf |
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22. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Cyburt A., Gałecka A. THE EFFICIENCY OF PRODUCTION FACTORS ON AGRICULTURAL FARMS OF THE VISEGRAD GROUP
Autor | Agnieszka Cyburt, Agnieszka Gałecka |
Tytuł | THE EFFICIENCY OF PRODUCTION FACTORS ON AGRICULTURAL FARMS OF THE VISEGRAD GROUP |
Title | Efektywność wykorzystania czynników produkcji w gospodarstwach rolniczych państw grupy wyszehradzkiej |
Słowa kluczowe | effectiveness, agricultural farms, FADN, Visegrad Group |
Key words | efektywność, gospodarstwa rolne, FADN, grupa Wyszehradzka |
Abstrakt | The objective of the study was to determine the effectiveness of the use of production factors on farms of the Visegrad Group countries. The research covered farms participating in the European system for collecting accounting data from FADN (Farm Accountancy Data Network) farms. Under the main objective, an assessment was made of the productivity and profitability of land, labour and capital. The research period covered the years 2014-2017. Based on the analyses that was conducted, it was found that the most effective use of land resources was on farms in Hungary and Poland, and the least effective in Slovakia. Considering labour and capital productivity, the highest results were achieved by farms in the Czech Republic and Slovakia, while the lowest by Polish farms. On the other hand, Hungarian farms were characterized by the highest profitability of labour and return on assets, where the analysed indicators were higher than the EU average. |
Abstract | Celem opracowania było określenie efektywności wykorzystania czynników produkcji w gospodarstwach rolniczych państw Grupy Wyszehradzkiej. Badaniami objęte zostały gospodarstwa uczestniczące w europejskim systemie zbierania danych rachunkowych z gospodarstw rolnych FADN (Farm Accountancy Data Network). W ramach celu głównego dokonano oceny produktywności i dochodowości ziemi, pracy i kapitału. Okres badawczy obejmował lata 2014-2017. Na podstawie przeprowadzonych analiz stwierdzono, że najefektywniej zasoby ziemi były wykorzystywane na Węgrzech i w Polsce, zaś najmniej efektywnie na Słowacji. Biorąc pod uwagę produktywność pracy i kapitału najwyższe wyniki osiągnęły gospodarstwa z Czech i Słowacji, zaś najniższe gospodarstwa polskie. Natomiast najwyższą dochodowością pracy i majątku charakteryzowały się gospodarstw węgierskie, gdzie analizowane wskaźniki były wyższe od średniej w UE. |
Cytowanie | Cyburt A., Gałecka A. (2020) THE EFFICIENCY OF PRODUCTION FACTORS ON AGRICULTURAL FARMS OF THE VISEGRAD GROUP.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 70-80 |
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Pełny tekst | PEFIM_2020_n73_s70.pdf |
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23. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Lichota W. Zastosowanie modeli logitowych do zdiagnozowania zagrożenia bankructwem przedsiębiorstw
Autor | Wojciech Lichota |
Tytuł | Zastosowanie modeli logitowych do zdiagnozowania zagrożenia bankructwem przedsiębiorstw |
Title | THE USE OF LOGISTIC MODELS TO DIAGNOSE THE RISK OF BANKRUPTCY IN ENTERPRISES |
Słowa kluczowe | kondycja finansowa, modele wczesnego ostrzegania, analiza finansowa |
Key words | logistic models, bankruptcy, risk assessment, regression analysis |
Abstrakt | W artykule zostały zaprezentowane wybrane modele regresji logistycznej, które służą do analizy przedsiębiorstw w zakresie zagrożenia bankructwem jak i zmiany w sytuacji finansowej. Jak wynika z literatury z zakresu finansów do oceny kondycji finansowej przedsiębiorstwa należy zastosować odpowiednie metody. Błędna ocena może przynieść przykre konsekwencje dla przedsiębiorstwa, w postaci podjęcia nietrafionych decyzji przez zarządzających, odmowy udzielenia kredytu bankowego lub niepodjęcia współpracy przez dostawców i odbiorców. Celem artykułu była weryfikacja skuteczności predykcji 12 modeli regresji logistycznej, które pozwalają na dokonanie oceny zagrożenia bankructwem przedsiębiorstwa a także zajęcia stanowiska odnośnie przyszłej kondycji finansowej. Próba badawcza wynosiła 40 przedsiębiorstw, w tym 8 przedsiębiorstw, dla których został złożony wniosek o upadłość. Jak wynika z przeprowadzonych badań, poszczególne modele odznaczają się różną sprawnością ogólną, która wyniosła od 54% do 98%. Ponadto wykazano, że wraz ze wzrostem wskaźników analizy finansowej użytych w konstrukcji funkcji nie zwiększa się sprawność poszczególnych modeli. Autor podsumowuje, że w celu uniknięcia ryzyka przeprowadzenia niewiarygodnej oceny kondycji finansowej przedsiębiorstwa, należy zastosować co najmniej kilka modeli logitowych. |
Abstract | The article presents selected logistic regression models that are used to analyze enterprises in terms of their risk of bankruptcy and changes in their financial situation. As it appears from the literature on finance, it is necessary to apply appropriate methods to assess the financial condition of an enterprise. Incorrect assessment may cause unpleasant consequences for the company, in the form of taking wrong decisions by managers, refusal to be granted a bank loan or failure to undertake cooperation with suppliers and customers. The aim of the article was to verify the effectiveness of the prediction of 12 logistic regression models, that allow for the assessment of an enterprise’s bankruptcy risk and its future financial condition. The research sample was 40 companies, including 8 enterprises for which a bankruptcy petition had been filed. As results from the conducted research, individual models have different general efficiency, which ranged from 54% to 98%. In addition, it was seen that the efficiency of particular models does not increase with an increase of the financial analysis indicators used in the construction of the function. The author concludes that in order to avoid the risk of making an unreliable assessment of the financial condition of a company, at least 10 logistic models should be used. |
Cytowanie | Lichota W. (2020) Zastosowanie modeli logitowych do zdiagnozowania zagrożenia bankructwem przedsiębiorstw.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 92-103 |
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Pełny tekst | PEFIM_2020_n73_s92.pdf |
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24. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Misztal P. LIQUIDITY TRAP IN THE UNITED STATES, THE EURO AREA AND JAPAN
Autor | Piotr Misztal |
Tytuł | LIQUIDITY TRAP IN THE UNITED STATES, THE EURO AREA AND JAPAN |
Title | Pułapka płynności w USA, strefie euro i Japonii |
Słowa kluczowe | liquidity trap, financial crisis, monetary policy |
Key words | pułapka płynności, kryzys finansowy, polityka pieniężna |
Abstrakt | When a country falls into a liquidity trap it means that its central bank lacks an effective expansionary monetary policy aimed at increasing consumption and investment demand. Market participants (households and enterprises), instead of increasing demand, accumulate a growing money supply in the form of cash. Keynes argued that for an economy in a liquidity trap, the only way to increase demand in the country and to stimulate the economy is to conduct expansionary fiscal policy by increasing government spending or reducing taxes. The aim of the research is to verify the empirical hypothesis of the liquidity trap in three of the largest economies in the world, formerly known as the Global Triad (i.e. the USA, the euro zone and Japan), after the 2008 financial crisis. Research methods based on literature studies in macroeconomics and finance, as well as statistical methods, were used in the study. All statistical data came from the statistical office of the European Union – EUROSTAT, and from the statistical database of the United Nations Conference on Trade and Development - UNCTADstat. |
Abstract | Kiedy kraj wpada w pułapkę płynności, oznacza to, że jego bankowi centralnemu brakuje skutecznej, ekspansywnej polityki monetarnej mającej na celu zwiększenie popytu konsumpcyjnego i inwestycyjnego. Uczestnicy rynku (gospodarstwa domowe i przedsiębiorstwa) zamiast zwiększać popyt gromadzą rosnącą podaż pieniądza w postaci gotówki. Keynes argumentował, że dla gospodarki znajdującej się w pułapce płynności jedynym sposobem na zwiększenie popytu w kraju i pobudzenie gospodarki jest prowadzenie ekspansywnej polityki fiskalnej poprzez zwiększanie wydatków rządowych lub obniżanie podatków. Celem badań jest weryfikacja empirycznej hipotezy o pułapce płynności w trzech największych gospodarkach świata, znanych wcześniej jako Globalna Triada (tj. USA, strefa euro i Japonia), po kryzysie finansowym w 2008 roku. W pracy wykorzystano metody badawcze oparte na studiach literaturowych z zakresu makroekonomii i finansów oraz metody statystyczne. Wszystkie dane statystyczne pochodziły z urzędu statystycznego Unii Europejskiej - EUROSTAT oraz z bazy danych statystycznych Konferencji Narodów Zjednoczonych ds. Handlu i Rozwoju - UNCTADstat. |
Cytowanie | Misztal P. (2020) LIQUIDITY TRAP IN THE UNITED STATES, THE EURO AREA AND JAPAN.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 114-127 |
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Pełny tekst | PEFIM_2020_n73_s114.pdf |
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25. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Pasternak-Malicka M. Pozytywne i negatywne konsekwencje szarej strefy postrzeganej jako „zręczność podatkowa” podmiotów gospodarczych i gospodarstw domowych
Autor | Monika Pasternak-Malicka |
Tytuł | Pozytywne i negatywne konsekwencje szarej strefy postrzeganej jako „zręczność podatkowa” podmiotów gospodarczych i gospodarstw domowych |
Title | POSITIVE AND NEGATIVE CONSEQUENCES OF THE GRAY ECONOMY "TAX DEXTERITY" OF BUSINESS ENTITIES AND HOUSEHOLDS |
Słowa kluczowe | szara strefa, gospodarka nieobserwowalna, oszustwa podatkowe, skutki szarej strefy |
Key words | gray market, unobservable economy, tax fraud, effects of the gray economy |
Abstrakt | Artykuł podejmuje problematykę szarej strefy. W pierwszej części została ujęta definicja szarej strefy w kontekście oszustw podatkowych oraz skala zjawiska w Polsce. W kolejnych przedstawione zostały negatywne i pozytywne skutki szarej strefy wymieniane w literaturze przedmiotu. W trzecim punkcie zaprezentowano fragmenty badań ankietowych dotyczących opisywanego problemu badawczego. W ostatniej części publikacji wskazano działania instytucjonalne oddziałujące na rozmiary szarej strefy w Polsce. Podstawowym celem niniejszej publikacji jest prezentacja pozytywnych i negatywnych konsekwencji występowania szarej strefy rozumianej jako oszustwo podatkowe i wskazania, które z nich przeważają w ocenie subiektywnej badanych podmiotów gospodarczych i gospodarstw domowych. W ramach artykułu zostały także zasygnalizowane rozwiązania instytucjonalne mające na celu ograniczyć badane zjawisko. Realizacja celu wymagała wykorzystania metod opisowo-statystycznych, a w szczególności analizy kształtowania się zakresu gospodarki nieobserwowalnej w Polsce i wybranych krajach. W artykule posłużono się badaniami ankietowymi z lat 2010-2019, w celu dokonania próby jakościowej oceny skutków zjawiska szarej strefy. |
Abstract | The article addresses the issue of the gray economy. In the first part the definition of the shadow economy in the context of tax evasion and the scale of the phenomenon in Poland are included. The following shows the negative and positive effects of the gray economy listed in the literature on the subject. In the third part fragments of a questionnaire survey were described concerning the problem. In the last part of the article, institutional activities affecting the size of the shadow economy in Poland are presented. The main purpose of this publication is to present the positive and negative consequences of the shadow economy, understood as tax evasion, and indicate which consequences prevail in the subjective assessment of the surveyed business entities and households. The article also indicates actions aimed at limiting the studied phenomenon. The implementation of the objective required the use of descriptive and statistical methods, in particular analysis of the shape and scope of the unobservable economy in Poland and selected countries. The direct-questionnaire method was also used. The article uses fragments of author-conducted study from 2010-2019 in order to make a qualitative attempt to assess the effects of the gray zone phenomenon. |
Cytowanie | Pasternak-Malicka M. (2020) Pozytywne i negatywne konsekwencje szarej strefy postrzeganej jako „zręczność podatkowa” podmiotów gospodarczych i gospodarstw domowych.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 128-142 |
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Pełny tekst | PEFIM_2020_n73_s128.pdf |
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26. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Nocoń A., Pyka I. Polityka makroostrożnościowa w Unii Europejskiej wobec instytucji ważnych systemowo
Autor | Aleksandra Nocoń, Irena Pyka |
Tytuł | Polityka makroostrożnościowa w Unii Europejskiej wobec instytucji ważnych systemowo |
Title | MACROPRUDENTIAL POLICY IN THE EUROPEAN UNION AGAINST SYSTEMICALLY IMPORTANT FINANCIAL INSTITUTIONS |
Słowa kluczowe | polityka makroostrożnościowa, instytucje ważne systemowo, bufory kapitałowe, MREL, TLAC |
Key words | macroprudential policy, systemically important financial institutions, capital buffers, MREL, TLAC |
Abstrakt | Polityka makroostrożnościowa wprowadzona regulacjami bazylejskimi po globalnym kryzysie finansowym ma charakter prewencyjny, chociaż obejmuje swym zakresem szereg rozwiązań instytucjonalnych i instrumentalnych, służących zapobieganiu materializacji ryzyka systemowego. Analiza tych rozwiązań została powiązana w opracowaniu z ich ukierunkowaniem na finansowe instytucje ważne systemowo (SIFIs), działające w Unii Europejskiej. Wskazuje się w nim, że wprowadzone do polityki makroostrożnościowej rozwiązania instytucjonalne i instrumentalne zwiększają znacznie dyscyplinę regulacyjną w systemie finansowym współczesnej gospodarki, nie zawsze natomiast są przejrzyste, a ich skuteczność ograniczona, z uwagi na właściwości ryzyka systemowego. Rozproszenie regulacyjne obserwuje sie również w Unii Europejskiej w odniesieniu do finansowych instytucji ważnych systemowo. Wzmacnia ono argumenty na rzecz tezy o niskiej skuteczności polityki makroostrożnościowej w dyscyplinowaniu stabilizującej roli SIFIs w systemie finansowym gospodarki globalnej. |
Abstract | The macroprudential policy implemented due to the Basel regulations after the global financial crisis has a preventive nature, although it covers a number of institutional and instrumental solutions aimed at preventing the materialisation of systemic risk. The analysis of these solutions has been linked in the article with their orientation on financial systemically important institutions (SIFIs), operating in the European Union. It is indicated that institutional and instrumental solutions, implemented through the macroprudential policy, significantly increase regulatory discipline in the financial system of the modern economy; however they are not always transparent and their effectiveness is limited, due to the nature of systemic risk. Regulatory dispersion in the European Union is also observed in relation to systemically important financial institutions. It strengthens the arguments in favor of the idea that macroprudential policy has low effectiveness in disciplining the stabilizing role of SIFIs in the financial system of the global economy. |
Cytowanie | Nocoń A., Pyka I. (2020) Polityka makroostrożnościowa w Unii Europejskiej wobec instytucji ważnych systemowo.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 189-204 |
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Pełny tekst | PEFIM_2020_n73_s189.pdf |
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27. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2020 |
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Toktaş Y. SPATIAL ANALYSIS OF RELATIONSHIP BETWEEN COVID-19 CASES AND GLOBALISATION IN EUROPE
Autor | Yılmaz Toktaş |
Tytuł | SPATIAL ANALYSIS OF RELATIONSHIP BETWEEN COVID-19 CASES AND GLOBALISATION IN EUROPE |
Title | Analiza przestrzenna relacji między przypadkami Covid-19 a globalizacją w Europie |
Słowa kluczowe | spatial analyses, Covid-19, Europe, globalisation |
Key words | analizy przestrzenne, Covid-19, Europa, globalizacja |
Abstrakt | With the globalisation process, economic, social and political structures have become more and more intertwined. Due to the current Covid-19 pandemic, it has been observed that epidemics such as Covid-19 are globalising and that they turn into pandemics on a global scale. In this study, it is suggested that, along with Covid-19’s distinctive abilities such as spreading rapidly, the fact that the world has become more mobile and integrated due to globalisation is considered to have an impact on the pandemic; thus, the effect of globalisation on Covid-19 cases in European countries was investigated through spatial analysis methods. The results of Moran’s I test carried out on Covid-19 cases in European countries suggest that there is positive autocorrelation. According to the LISA analysis results, it was found that the UK, the Netherlands, France, and Belgium not only have a higher number of Covid-19 cases, but also have been affected by the countries with a number of cases above the European mean. According to the results of Spatial Error Model designed to examine the effect of globalisation, it was found that globalisation had a slight but positive effect on Covid-19 cases in Europe. |
Abstract | Wraz z procesem globalizacji struktury gospodarcze, społeczne i polityczne stają się coraz bardziej ze sobą powiązane. Ze względu na obecną pandemię Covid-19 zaobserwowano, że epidemie takie jak Covid-19 zglobalizują się i przekształcają się w pandemie na skalę globalną. W badaniu tym sugeruje się, że wraz z charakterystycznymi zdolnościami Covid-19, takimi jak szybkie rozprzestrzenianie się, fakt, że świat stał się bardziej mobilny i zintegrowany z powodu globalizacji, jest uważany za mający wpływ na pandemię; w związku z tym wpływ globalizacji na przypadki Covid-19 w krajach europejskich badano za pomocą metod analizy przestrzennej. Wyniki testu I Morana przeprowadzonego na temat przypadków Covid-19 w krajach europejskich sugerują, że istnieje pozytywna autokorelacja Zgodnie z wynikami analizy LISA stwierdzono, że Zjednoczone Królestwo, Niderlandy, Francja i Belgia mają nie tylko większą liczbę spraw dotyczących covid-19, ale także zostały dotknięte przez kraje, w których wiele przypadków jest powyżej średniej europejskiej. Zgodnie z wynikami modelu błędu przestrzennego mającego na celu zbadanie wpływu globalizacji stwierdzono, że globalizacja miała niewielki, ale pozytywny wpływ na przypadki Covid-19 w Europie. |
Cytowanie | Toktaş Y. (2020) SPATIAL ANALYSIS OF RELATIONSHIP BETWEEN COVID-19 CASES AND GLOBALISATION IN EUROPE.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 24(73): 255-265 |
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Pełny tekst | PEFIM_2020_n73_s255.pdf |
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28. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2020 |
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Parlinska A., Toktaş Y. The Impact of the Real Effective Exchange Rate on Poland’s Food and Live Animal Exports
Autor | Agnieszka Parlinska, Yılmaz Toktaş |
Tytuł | The Impact of the Real Effective Exchange Rate on Poland’s Food and Live Animal Exports |
Title | The Impact of the Real Effective Exchange Rate on Poland’s Food and Live Animal Exports |
Słowa kluczowe | exchange rate, ARDL bounds test analysis, time series analysis, food and live animal exports, cointegration |
Key words | exchange rate, ARDL bounds test analysis, time series analysis, food and live animal exports, cointegration |
Abstrakt | In this study, for the 2012M1-2020M1 period, the relationship between Poland’s real effective exchange rate and its food and animal exports were examined by the bounds test. The stationary analyses of variables were examined by the ADF and PP tests. According to the results of a cointegration test, a cointegration relation among the real effective exchange rate, food and live animal exports, as well as industrial production was determined. It was also concluded that the real effective exchange rate has a long-term negative impact on Poland's food and live animal exports. This research also established that a 1% increase in the real effective exchange rate in the long-term would decrease Poland's food and animal exports by 3.091%. Also, industrial production has a positive impact on Poland’s food and animal exports, as expected. It was determined that a 1% increase in industrial production would increase Poland’s food and animal exports by 2.803%. On the other hand, the error correction term coefficient was found to be -0.119, indicating that 11% of the imbalance in the short-term will be recovered in the next period. |
Abstract | In this study, for the 2012M1-2020M1 period, the relationship between Poland’s real effective exchange rate and its food and animal exports were examined by the bounds test. The stationary analyses of variables were examined by the ADF and PP tests. According to the results of a cointegration test, a cointegration relation among the real effective exchange rate, food and live animal exports, as well as industrial production was determined. It was also concluded that the real effective exchange rate has a long-term negative impact on Poland's food and live animal exports. This research also established that a 1% increase in the real effective exchange rate in the long-term would decrease Poland's food and animal exports by 3.091%. Also, industrial production has a positive impact on Poland’s food and animal exports, as expected. It was determined that a 1% increase in industrial production would increase Poland’s food and animal exports by 2.803%. On the other hand, the error correction term coefficient was found to be -0.119, indicating that 11% of the imbalance in the short-term will be recovered in the next period. |
Cytowanie | Parlinska A., Toktaş Y. (2020) The Impact of the Real Effective Exchange Rate on Poland’s Food and Live Animal Exports.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 20(35), z. 4: 47-57 |
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Pełny tekst | PRS_2020_T20(35)_n4_s47.pdf |
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29. |
Ekonomika i Organizacja Logistyki, 2020 |
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Köktaş A., Selçuk I. Transport sector energy use and carbon emissions: a study on sectoral fiscal policies
Autor | Altuğ Köktaş, Işıl Selçuk |
Tytuł | Transport sector energy use and carbon emissions: a study on sectoral fiscal policies |
Title | Zużycie energii i emisja dwutlenku węgla w sektorze transportu: badanie sektorowych polityki fiskalnej |
Słowa kluczowe | transportation, fiscal policy, carbon tax |
Key words | transport, polityka podatkowa, podatek węglowy |
Abstrakt | As the energy sector worldwide is largely based on fossil fuel consumption, the amount of global-scale carbon emissions continues to increase over the years. One of the most important reasons for the increase in emissions, the transportation sector, continues to develop with globalization. The development of land, sea, and air transport together with international trade brings environmental problems in parallel with the increase in energy consumption. Accordingly, it is estimated that one fourth of total carbon emissions today originate from the transportation sector. In this context, in order to combat environmental problems such as global warming and climate change on an international scale, initiatives such as the Paris Climate Agreement are being implemented and environmental policies to reduce the amount of emissions are being recommended. The aim of this study is to examine environmental policies, which have been discussed extensively in the literature, in terms of fiscal policy. In this context, fiscal policy tools such as taxes, subsidies, incentives, and regulations specific to the transport sector were discussed. This study, in which the descriptive method is used, argues that fiscal policy practices can be an effective method in reducing the amount of carbon emissions. |
Abstract | Sektor energetyczny na całym świecie w dużej mierze opiera się na paliwach kopalnych, co skutkuje ciągłym wzrostem emisji dwutlenku węgla na skalę światową. Jedną z najważniejszych przyczyn wzrostu emisji jest sektor transportu, którego rozwój jest powiązany z procesami globalizacji. Rozwój transportu lądowego, morskiego i lotniczego wraz z handlem międzynarodowym i zwiększonym zużyciem energii powoduje problemy środowiskowe. W związku z tym szacuje się, że jedna czwarta całkowitej emisji dwutlenku węgla pochodzi obecnie z sektora transportu. W tym kontekście, w celu zwalczania problemów środowiskowych, takich jak globalne ocieplenie i zmiany klimatyczne w skali międzynarodowej, wdrażane są takie inicjatywy, jak porozumienie klimatyczne z Paryża, a także zalecana jest polityka środowiskowa mająca na celu zmniejszenie ilości emisji. Celem niniejszego opracowania jest analiza polityki środowiskowej, która była szeroko omawiana w literaturze, pod kątem polityki fiskalnej. W tym kontekście omówiono narzędzia polityki fiskalnej, takie jak podatki, dotacje, zachęty i przepisy specyficzne dla sektora transportu. Niniejsze badanie, w którym zastosowano metodę opisową, dowodzi, że praktyki polityki fiskalnej mogą być skuteczną metodą zmniejszania ilości emisji dwutlenku węgla. |
Cytowanie | Köktaş A., Selçuk I. |
HTML | wersja html |
Pełny tekst | EIOL_2020_T5_n3_s17.pdf |
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30. |
Economic Sciences for Agribusiness and Rural Economy, 2020 |
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Baidala V., Butenko V., Slavkova O., Sukhostavets A. STRATEGIC FUNDAMENTALS OF BIOECONOMY DEVELOPMENT IN UKRAINE
Autor | Viktoriia Baidala, Vira Butenko, Olena Slavkova, Andrii Sukhostavets |
Tytuł | STRATEGIC FUNDAMENTALS OF BIOECONOMY DEVELOPMENT IN UKRAINE |
Title | |
Słowa kluczowe | bioeconomy, concept of the state strategy for the development of bioeconomy, innovative development |
Key words | |
Abstrakt | The purpose of this study is to identify the global trends in bioeconomic development and to develop the Concept of a State Strategy of Bioeconomic Development in Ukraine for the period until 2030. The authors define the bioeconomy as a set of industries that ensure the sustainable use of renewable resources, the use of biotechnologies for production while reducing the potential environmental damage, contributing to the innovative development of relevant sectors, and providing positive aspects of socio-economic development. The article formulates approaches to measuring the state and effectiveness of the bioeconomic development in Ukraine and the EU countries. Based on the analysis of world experience, it is concluded that to accelerate the development of the bioeconomy in Ukraine, it is necessary to develop the Strategy for the development of the bioeconomy in Ukraine. The conceptual foundations of such a Strategy have been developed by the authors of the article. The results of the study are the basis for the development and implementation of the State Strategy for the Development of Bioeconomy in Ukraine. The relevance of this study is determined by the absence of the Bioeconomic Development Strategy in Ukraine, which makes it difficult for the country to reach a new technological and innovative level of development. At the same time, the development and implementation of this Strategy will help Ukraine enter the international system of production of new knowledge and technologies. |
Abstract | |
Cytowanie | Baidala V., Butenko V., Slavkova O., Sukhostavets A. |
HTML | wersja html |
Pełny tekst | ESARE_2020_n4_s30.pdf |
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31. |
Economic Sciences for Agribusiness and Rural Economy, 2020 |
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Hutsalenko L., Kolesnikova O., Marchuk U., Zabolotnyy S. THE HACCP SYSTEM AS A GUARANTEE FOR FOOD SAFETY IN UKRAINE
Autor | Liubov Hutsalenko, Olena Kolesnikova, Uliana Marchuk, Serhiy Zabolotnyy |
Tytuł | THE HACCP SYSTEM AS A GUARANTEE FOR FOOD SAFETY IN UKRAINE |
Title | |
Słowa kluczowe | management system, HACCP, Critical Control Point (CPC) |
Key words | |
Abstrakt | The research points out the principal concept of the HACCP system, ensuring product safety along the whole food chain 'from the field to the table'. It focuses on HACCP as the food safety management system that proved to be effective and has been accepted globally. In recent years the HACCP system has been gradually introduced in Ukrainian business entities. The article reveals the emergence of the HACCP system and the adaptation of the legal base of Ukraine in the area of food safety requirements. It provides evidence that the harmonization of Ukrainian and international standards in the field of food quality and safety calls for the necessity to introduce HACCP-conforming technologies at all stages of production in Ukrainian companies. The results of the audits of food product safety in Ukraine for the period 2016-2019 were evaluated. |
Abstract | |
Cytowanie | Hutsalenko L., Kolesnikova O., Marchuk U., Zabolotnyy S. |
HTML | wersja html |
Pełny tekst | ESARE_2020_n4_s49.pdf |
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32. |
Economic Sciences for Agribusiness and Rural Economy, 2020 |
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Balanovska T., Gogulya O., Kharchenko V., Kharchenko H. COGNITIVE MODELLING OF AN EFFECTIVE SYSTEM OF INFORMATION SUPPORT OF AGRICULTURAL ENTERPRISES
Autor | Tetiana Balanovska, Olga Gogulya, Volodymyr Kharchenko, Hanna Kharchenko |
Tytuł | COGNITIVE MODELLING OF AN EFFECTIVE SYSTEM OF INFORMATION SUPPORT OF AGRICULTURAL ENTERPRISES |
Title | |
Słowa kluczowe | information support, cognitive approach, modelling, forecasting, poorly structured system, cognitive modelling of efficiency of functioning of the information system of agricultural entrepreneurship |
Key words | |
Abstrakt | This article encompasses the methodology of cognitive modelling of complex poorly structured systems. Based on the expert method and with the help of this modelling methodology, the main factors that influence the effectiveness of information support of agricultural entrepreneurship were identified and the direction of their action was determined. There has been developed a cognitive map that reflects the cumulative impact of various factors on each other, as well as on the effectiveness of the information system for agricultural entrepreneurship. Hidden patterns between factors influencing the effectiveness of information support of agricultural entrepreneurship are revealed based on the cognitive map. The scenario approach is simulated based on different trends that reflect the current situation. This model allows us to further evaluate the performance of the system of information support of agricultural entrepreneurship under the influence of the environment, to predict its development, as well as to develop optimal strategic decisions that are aimed at ensuring sustainable development. |
Abstract | |
Cytowanie | Balanovska T., Gogulya O., Kharchenko V., Kharchenko H. |
HTML | wersja html |
Pełny tekst | ESARE_2020_n4_s55.pdf |
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33. |
Economic Sciences for Agribusiness and Rural Economy, 2020 |
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Dziwulski M., Szymańska E. CHANGES IN THE ECONOMIC SIZE AND PRODUCTION DIRECTION IN FARMS AS A RESULT OF INVESTMENTS IN FIXED ASSETS
Autor | Mariusz Dziwulski, Elżbieta Szymańska |
Tytuł | CHANGES IN THE ECONOMIC SIZE AND PRODUCTION DIRECTION IN FARMS AS A RESULT OF INVESTMENTS IN FIXED ASSETS |
Title | |
Słowa kluczowe | investments, farms, economic size, type of farming, farm migrations |
Key words | |
Abstrakt | The research aimed to identify the impact of the implemented projects on the change in the economic size and direction of farms. The research used studies of the literature on the subject and data from 4 803 farms that kept continuous accounting under the FADN system in 2005-2013. The analysed economy was grouped according to the value of investment outlays in funds, economic size, and production type. Research shows that the increase in the level of investment is conducive to increasing the economic strength of farms. However, these investments must be high enough to ensure the appropriate level of difficulty. For the lower average level of questions, smaller languages are less and very small. Moreover, investments favour and accelerate the processing of farms, which may also improve their economic effects. In the analysed group of mixed-type farms, they changed the destination for the cultivation of cereals and the place of milk. |
Abstract | |
Cytowanie | Dziwulski M., Szymańska E. |
HTML | wersja html |
Pełny tekst | ESARE_2020_n4_s92.pdf |
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34. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Adamowicz M., Adamowicz T. The World Financial Crisis and The Polish Economy
Autor | Mieczysław Adamowicz, Tomasz Adamowicz |
Tytuł | The World Financial Crisis and The Polish Economy |
Title | The World Financial Crisis and The Polish Economy |
Słowa kluczowe | financial crisis, effects of financial crisis, anti-crisis action, Poland |
Key words | financial crisis, effects of financial crisis, anti-crisis action, Poland |
Abstrakt | The subject of the work is to provide an overview of the global financial crisis in the years 2007-2011; its course, symptoms and effects in the world and in Poland. The work presents the causes and the sources of crisis as well as corrective measures taken by governments and financial institutions. The subject literature and information from different national and international financial institutions and organisations were used as a source of research materials and data for analysis. The financial crisis appeared in Poland with some delay and was less intensive than in other developed countries. Anti-crisis measures taken in Poland complied with the recommendations of the European Union and the International Monetary Fund. The measures taken by the Polish central bank concerned the institutional sphere, the manner in which the financial policy worked and how it was pursued, as well as the real sphere of the economy, including especially enterprises, households and public institutions. |
Abstract | The subject of the work is to provide an overview of the global financial crisis in the years 2007-2011; its course, symptoms and effects in the world and in Poland. The work presents the causes and the sources of crisis as well as corrective measures taken by governments and financial institutions. The subject literature and information from different national and international financial institutions and organisations were used as a source of research materials and data for analysis. The financial crisis appeared in Poland with some delay and was less intensive than in other developed countries. Anti-crisis measures taken in Poland complied with the recommendations of the European Union and the International Monetary Fund. The measures taken by the Polish central bank concerned the institutional sphere, the manner in which the financial policy worked and how it was pursued, as well as the real sphere of the economy, including especially enterprises, households and public institutions. |
Cytowanie | Adamowicz M., Adamowicz T. (2019) The World Financial Crisis and The Polish Economy.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 1: 5-21 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n1_s5.pdf |
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35. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Bieńkowski J., Holka M. Environmental Assessment of the Life Cycle of Bovine Compound Feeds from a Feed Milling Plant in a Large Commercial Farm in Wielkopolska Region, Poland
Autor | Jerzy Bieńkowski, Małgorzata Holka |
Tytuł | Environmental Assessment of the Life Cycle of Bovine Compound Feeds from a Feed Milling Plant in a Large Commercial Farm in Wielkopolska Region, Poland |
Title | Environmental Assessment of the Life Cycle of Bovine Compound Feeds from a Feed Milling Plant in a Large Commercial Farm in Wielkopolska Region, Poland |
Słowa kluczowe | environment, life cycle analysis, impact category indicator, compound feed, feed mill, Poland |
Key words | environment, life cycle analysis, impact category indicator, compound feed, feed mill, Poland |
Abstrakt | In recent years, the importance of environmental threats associated with intensive livestock production has been emphasized. Compound feeds make up a part of the animal production chain. A complete assessment of the animal production system with regard to environmental criteria is therefore impossible without considering the environmental consequences of feed production. The goal of this research is to fill the gap in an environmental assessment of production processes of compound feeds in Poland. The study presents an assessment of production impacts of bovine compound feeds according to Life Cycle Analysis (LCA) methodology. The data for analysis were based on the set of information obtained from the feed milling plant located in a commercial agricultural enterprise in the Wielkopolska region in the years 2015-2016. An inventory table of inputs was prepared in relation to the functional unit of 1 ton of compound feeds and two phases of production processes, i.e. upstream and core. For average compound feed, the impact category indicators for the global warming potential, acidification, eutrophication, photochemical ozone formation, consumption of mineral resources, fossil fuel resources and the emission of the respirable particles were respectively: 605.9 kg CO2 eq, 8.73 kg SO2 eq, 3.32 kg PO4 eq, 0.73 kg ethylene eq, 3.4x10-3 kg antimony eq, 5141.1 MJ and 2.25 kg PM2.5 eq. The upstream phase had the greatest effect on investigated impacts, while the core processes phase had a relatively low impact on environmental threats. It is recommended to broaden the scope of the research for a larger group of feed milling plants with more complex manufacturing processes, with a more branched supply structure and a wide range of compound feeds for different animal types. The obtained data can be a valuable source base in prospective analyses of the life cycle of various animal products in Poland. |
Abstract | In recent years, the importance of environmental threats associated with intensive livestock production has been emphasized. Compound feeds make up a part of the animal production chain. A complete assessment of the animal production system with regard to environmental criteria is therefore impossible without considering the environmental consequences of feed production. The goal of this research is to fill the gap in an environmental assessment of production processes of compound feeds in Poland. The study presents an assessment of production impacts of bovine compound feeds according to Life Cycle Analysis (LCA) methodology. The data for analysis were based on the set of information obtained from the feed milling plant located in a commercial agricultural enterprise in the Wielkopolska region in the years 2015-2016. An inventory table of inputs was prepared in relation to the functional unit of 1 ton of compound feeds and two phases of production processes, i.e. upstream and core. For average compound feed, the impact category indicators for the global warming potential, acidification, eutrophication, photochemical ozone formation, consumption of mineral resources, fossil fuel resources and the emission of the respirable particles were respectively: 605.9 kg CO2 eq, 8.73 kg SO2 eq, 3.32 kg PO4 eq, 0.73 kg ethylene eq, 3.4x10-3 kg antimony eq, 5141.1 MJ and 2.25 kg PM2.5 eq. The upstream phase had the greatest effect on investigated impacts, while the core processes phase had a relatively low impact on environmental threats. It is recommended to broaden the scope of the research for a larger group of feed milling plants with more complex manufacturing processes, with a more branched supply structure and a wide range of compound feeds for different animal types. The obtained data can be a valuable source base in prospective analyses of the life cycle of various animal products in Poland. |
Cytowanie | Bieńkowski J., Holka M. (2019) Environmental Assessment of the Life Cycle of Bovine Compound Feeds from a Feed Milling Plant in a Large Commercial Farm in Wielkopolska Region, Poland.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 1: 22-36 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n1_s22.pdf |
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36. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Wieliczko B. Federalizm fiskalny i środowiskowy a polityka rolna
Autor | Barbara Wieliczko |
Tytuł | Federalizm fiskalny i środowiskowy a polityka rolna |
Title | Fiscal and Environmental Federalism vs. Agricultural Policy |
Słowa kluczowe | polityka rolna, federalizm fiskalny, federalizm środowiskowy, skuteczność polityki, efektywność polityki |
Key words | agricultural policy, fiscal federalism, environmental federalism, policy effectiveness, policy efficiency |
Abstrakt | Stworzenie przez państwo skutecznej i efektywnej polityki rolnej jest niezmiernie trudnym zadaniem. Wydaje się, że zaprojektowanie właściwego zestawu instrumentów staje się tym trudniejsze im większego obszaru dotyczy. Celem artykułu jest próba odpowiedzi na pytanie, jak wielką rolę w tworzeniu i realizacji polityki rolnej w UE powinna odgrywać Komisja Europejska, a jak dużą rządy poszczególnych państw członkowskich. Odpowiedź na to pytanie bazuje na osiągnięciach teorii federalizmu fiskalnego i federalizmu środowiskowego. Artykuł opiera się na przeglądzie literatury oraz analizie optymalnego z punktu widzenia celów polityki rolnej zakresu kompetencji administracji publicznej w tworzeniu i wdrażaniu polityki rolnej przy uwzględnieniu aktualnych wyzwań stojących przed rolnictwem. Uzyskane wyniki pozwalają określić, jak zoptymalizować podział zadań związanych z polityką rolną między szczeblami administracji, co umożliwia wdrażanie skuteczniejszej i efektywniejszej polityki rolnej. |
Abstract | The creation of an effective and efficient agricultural policy by the state is an extremely difficult task. It seems that designing proper agricultural policy becomes more difficult the larger the area. The aim of the article is to try to answer the question of what role in the creation and implementation of agricultural policy in the EU should be played by the European Commission, and by individual Member States. The answer to this question is based on the theories of fiscal and environmental federalism. The article is based on a review of literature and analysis of the optimal scope of public administration's competences in the creation and implementation of agricultural policy. The obtained results allow to determine how to optimize the division of tasks related to the agricultural policy between the levels of administration, which enables the implementation of a more effective and more efficient agricultural policy. |
Cytowanie | Wieliczko B. (2019) Federalizm fiskalny i środowiskowy a polityka rolna.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 1: 144-152 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n1_s144.pdf |
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37. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Anielak K. Fintech as a Source of Financial Innovations on the Polish Financial Services Market
Autor | Karolina Anielak |
Tytuł | Fintech as a Source of Financial Innovations on the Polish Financial Services Market |
Title | Fintech as a Source of Financial Innovations on the Polish Financial Services Market |
Słowa kluczowe | Fintech, financial innovations, banks |
Key words | Fintech, financial innovations, banks |
Abstrakt | The paper presents the definition of innovation, advancement and development of the Fintech sector on the global scale, with particular emphasis put on Poland. Fintechs, i.e. IT companies that provide increasingly more modern solutions for customers active on the financial markets are not fully described in the literature on the subject. The aim of the paper was to present a comprehensive definition of Fintech, show the scale of this type of ventures around the world and in Poland, and analyze the forms and potential of the cooperation of Fintech companies with financial services entities, in particular with the banks. The article uses a critical analysis of the literature of mainly English-language studies from the last 5 years, indicating the state of financial innovations and their importance on the global scale. The author analyzed statistical data from PWC Global Fintech Report, CitiGPS reports, Capgemini reports and KPMG, which enabled her to present the value of global investments in Fintech. The performed cause and effect analysis indicates that investments in the Fintech sector are becoming more and more popular, that this market will be growing due to cooperation, among others, with the banks which want to meet the requirements of their customers using more advanced technologies. |
Abstract | The paper presents the definition of innovation, advancement and development of the Fintech sector on the global scale, with particular emphasis put on Poland. Fintechs, i.e. IT companies that provide increasingly more modern solutions for customers active on the financial markets are not fully described in the literature on the subject. The aim of the paper was to present a comprehensive definition of Fintech, show the scale of this type of ventures around the world and in Poland, and analyze the forms and potential of the cooperation of Fintech companies with financial services entities, in particular with the banks. The article uses a critical analysis of the literature of mainly English-language studies from the last 5 years, indicating the state of financial innovations and their importance on the global scale. The author analyzed statistical data from PWC Global Fintech Report, CitiGPS reports, Capgemini reports and KPMG, which enabled her to present the value of global investments in Fintech. The performed cause and effect analysis indicates that investments in the Fintech sector are becoming more and more popular, that this market will be growing due to cooperation, among others, with the banks which want to meet the requirements of their customers using more advanced technologies. |
Cytowanie | Anielak K. (2019) Fintech as a Source of Financial Innovations on the Polish Financial Services Market.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 1: 162-171 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n1_s162.pdf |
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38. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Bronisz U., Jakubowski A. Rural Demographic Problem Areas in Poland
Autor | Urszula Bronisz, Andrzej Jakubowski |
Tytuł | Rural Demographic Problem Areas in Poland |
Title | Rural Demographic Problem Areas in Poland |
Słowa kluczowe | rural areas, demographic problems, Poland |
Key words | rural areas, demographic problems, Poland |
Abstrakt | Demographic problem areas are perceived as one of the most important types of problem areas and require special research interest. Problem areas conditioned by population factor most often refer to rural areas. Presented article aims to identify and delimit rural demographic problem areas in Poland. The study covered rural areas distinguished on the basis of the classification of the European Commission DEGURBA The analysis enabled to identify depopulation areas, areas with disrupted population reproduction (ie areas of permanent natural decline), areas of permanent outflow of population, areas with impaired population structure by age and areas with disrupted population structure by sex in the group of people of marriage age (20-34 years). To indicate clusters of communes characterised by the presence of the unfavourable demographic phenomena and processes (rural demographic problem areas) the measure of local spatial autocorrelation (Anselin Local Moran's I) was applied. The application value resulting from the research may be the improvement of the effectiveness of public intervention carried out as part of the development policy. |
Abstract | Demographic problem areas are perceived as one of the most important types of problem areas and require special research interest. Problem areas conditioned by population factor most often refer to rural areas. Presented article aims to identify and delimit rural demographic problem areas in Poland. The study covered rural areas distinguished on the basis of the classification of the European Commission DEGURBA The analysis enabled to identify depopulation areas, areas with disrupted population reproduction (ie areas of permanent natural decline), areas of permanent outflow of population, areas with impaired population structure by age and areas with disrupted population structure by sex in the group of people of marriage age (20-34 years). To indicate clusters of communes characterised by the presence of the unfavourable demographic phenomena and processes (rural demographic problem areas) the measure of local spatial autocorrelation (Anselin Local Moran's I) was applied. The application value resulting from the research may be the improvement of the effectiveness of public intervention carried out as part of the development policy. |
Cytowanie | Bronisz U., Jakubowski A. (2019) Rural Demographic Problem Areas in Poland.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 2: 41-53 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n2_s41.pdf |
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39. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Himstedt K., Kacprzak T. The Influence of the Russian Embargo on the Economic Situation of Apple Producers in the Eastern Part of the Masovia Province
Autor | Katarzyna Himstedt, Tomasz Kacprzak |
Tytuł | The Influence of the Russian Embargo on the Economic Situation of Apple Producers in the Eastern Part of the Masovia Province |
Title | The Influence of the Russian Embargo on the Economic Situation of Apple Producers in the Eastern Part of the Masovia Province |
Słowa kluczowe | embargo, Russia, apple market |
Key words | embargo, Russia, apple market |
Abstrakt | The article concerns the effects of the Russian embargo on apple producers in Poland. Scientific literature is quite poor in this field, mainly information articles in industry literature and media information are available. The literature was reviewed in this respect and two studies (questionnaire and interview) were carried out. The information obtained allowed us to draw conclusions about the very large negative impact of the embargo on the apple market and to learn about its characteristics. New markets do not generate sufficient demand, in 2018 apple prices dropped below production costs, but this does not reflect in a drop in prices in stores, which means that price speculations take place, and the situation is used by realtors. It is necessary to quickly return to the Russian market, because soon it will be unrecoverable for Polish fruit farmers. It is also necessary to put pressure on the European Union's policy, because nowadays it is the Polish farmers who bear its effects to the greatest extent. |
Abstract | The article concerns the effects of the Russian embargo on apple producers in Poland. Scientific literature is quite poor in this field, mainly information articles in industry literature and media information are available. The literature was reviewed in this respect and two studies (questionnaire and interview) were carried out. The information obtained allowed us to draw conclusions about the very large negative impact of the embargo on the apple market and to learn about its characteristics. New markets do not generate sufficient demand, in 2018 apple prices dropped below production costs, but this does not reflect in a drop in prices in stores, which means that price speculations take place, and the situation is used by realtors. It is necessary to quickly return to the Russian market, because soon it will be unrecoverable for Polish fruit farmers. It is also necessary to put pressure on the European Union's policy, because nowadays it is the Polish farmers who bear its effects to the greatest extent. |
Cytowanie | Himstedt K., Kacprzak T. (2019) The Influence of the Russian Embargo on the Economic Situation of Apple Producers in the Eastern Part of the Masovia Province.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 2: 54-64 |
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Pełny tekst | PRS_2019_T19(34)_n2_s54.pdf |
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40. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2019 |
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Kuźnar A., Menkes J. Handel produktami rolno-spożywczymi w Umowie o partnerstwie gospodarczym między UE a Japonią
Autor | Andżelika Kuźnar, Jerzy Menkes |
Tytuł | Handel produktami rolno-spożywczymi w Umowie o partnerstwie gospodarczym między UE a Japonią |
Title | Agri-Food Trade in the EU-Japan Economic Partnership Agreement |
Słowa kluczowe | umowa o partnerstwie gospodarczym UE-Japonia (EPA); regionalne porozumienia handlowe (RTA), cła, bariery pozataryfowe |
Key words | EU-Japan Economic Partnership Agreement (EPA); Regional Trade Agreements (RTA), tariffs, non-tariff barriers |
Abstrakt | W 2018 r. Unia Europejska i Japonia zawarły Umowę o partnerstwie gospodarczym (EPA), która jest jedną z najszerszych i najbardziej kompleksowych umów handlowych podpisanych przez Strony do tej pory. Umowa ta obejmuje m.in. kwestie dostępu do rynków rolnych obu Stron, zakładając liberalizację barier taryfowych i pozataryfowych. Z uwagi na większe znaczenie sektora rolnego w eksporcie UE do Japonii niż odwrotnie, jak również wysoki poziom ochrony rynku japońskiego, Umowa ma duże znaczenie dla unijnych, w tym polskich podmiotów z branży rolno-spożywczej. Celem artykułu jest określenie możliwych skutków EPA dla rozwoju eksportu produktów rolno-spożywczych z państw UE, a w szczególności z Polski do Japonii. Badanie przeprowadzono na podstawie analizy tekstu EPA oraz najnowszych danych handlowych. |
Abstract | In 2018, the European Union and Japan concluded an Economic Partnership Agreement (EPA), which is one of the widest and most comprehensive trade agreements signed by the Parties to date. This Agreement covers issues related to access to agricultural markets of both Parties, assuming the liberalization of tariff and non-tariff barriers. Due to the greater importance of the agricultural sector in EU exports to Japan than vice versa, as well as the high level of protection of the Japanese market, the Agreement is of great importance for the EU, including Poland’s agri-food exporters. The aim of the paper is to determine the possible effects of EPA on the development of exports of agri-food products from EU countries, in particular from Poland to Japan. The study was based on EPA text analysis and the latest trade data. |
Cytowanie | Kuźnar A., Menkes J. (2019) Handel produktami rolno-spożywczymi w Umowie o partnerstwie gospodarczym między UE a Japonią.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 19(34), z. 2: 89-102 |
HTML | wersja html |
Pełny tekst | PRS_2019_T19(34)_n2_s89.pdf |
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