41. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Batyk I. Wybrane wskaźniki zachowań Rosjan na rynku polskim ze szczególnym uwzględnieniem rynku rolno-spożywczego w latach 2010-2017
Autor | Iwona Batyk |
Tytuł | Wybrane wskaźniki zachowań Rosjan na rynku polskim ze szczególnym uwzględnieniem rynku rolno-spożywczego w latach 2010-2017 |
Title | Selected Factors of Russian Behavior on the Polish Market with Particular Regard to the Agri-Food Market in 2010-2017 |
Słowa kluczowe | Federacja Rosyjska, rynek przygraniczny, konsument, embargo, wydatki |
Key words | Russian Federation, cross-border market, consumer, embargo, expenses |
Abstrakt | Celem opracowania jest analiza wybranych wskaźników ilustrujących zachowania Rosjan na rynku polskim ze szczególnym uwzględnieniem rynku rolno-spożywczego, oraz wskazanie najważniejszych zmian jakie zaszły w latach 2010-2017. Do weryfikacji założeń wykorzystano analizę ruchu granicznego, celu i częstotliwości przyjazdów Rosjan do Polski, a także wielkości i struktury wydatków poniesionych przez Rosjan w Polsce w analizowanym okresie. Artykuł jest wynikiem analizy literatury i opracowań statystycznych. Do analizy danych wykorzystano metody: opisową, szeregów czasowych oraz wnioskowania. Ruch graniczny na granicy polsko-rosyjskiej charakteryzuje zmienność dynamiki przyjazdów Rosjan do Polski, na którą wpływ mają m.in. przepisy regulujące zasady funkcjonowania ruchu granicznego między Rzeczypospolitą Polską a Federacją Rosyjską, relacje cenowe pomiędzy sąsiadującymi krajami oraz niestabilna sytuacja międzynarodowa. Wszelkie zmiany przepisów regulujących przepływ towarów i usług na granicy polsko-rosyjskiej, znalazły odzwierciedlenie w celu i częstotliwości przyjazdów Rosjan do Polski oraz w wysokości wydatków poniesionych w Polsce. |
Abstract | The aim of the study is to analyze selected indicators defining the behavior of Russians on the Polish market with particular regard to the agri-food market, and to identify the most important changes that have occurred between 2010-2017. To verify the assumptions, the analysis of border traffic, purpose and frequency of arrivals of Russians to Poland was used, as well as the size and structure of expenses incurred by the Russians in Poland in the analyzed period. The article is the result of an analysis of literature and statistical studies. Data analysis was based on: descriptive methods, time series and inference. Border traffic on the Polish-Russian border is characterized by the variability of the dynamics of Russian arrivals to Poland, influenced by the regulations governing the functioning of border traffic between the Republic of Poland and the Russian Federation, price relations between neighboring countries and the international situation. All changes to the regulations governing the flow of goods and services on the Polish-Russian border were reflected in the purpose and frequency of arrivals of Russians to Poland and in the amount of expenses incurred by them in Poland. |
Cytowanie | Batyk I. (2018) Wybrane wskaźniki zachowań Rosjan na rynku polskim ze szczególnym uwzględnieniem rynku rolno-spożywczego w latach 2010-2017.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 3: 7-22 |
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Pełny tekst | PRS_2018_T18(33)_n3_s7.pdf |
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42. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Kozar Ł. Sektor energetyczny, a wyzwania zrównoważonego rozwoju – analiza przestrzennego zróżnicowania sytuacji w UE w oparciu o wybrane wskaźniki
Autor | Łukasz Kozar |
Tytuł | Sektor energetyczny, a wyzwania zrównoważonego rozwoju – analiza przestrzennego zróżnicowania sytuacji w UE w oparciu o wybrane wskaźniki |
Title | Energy sector and the challenges of sustainable development – analysis of spatial differentiation of the situation in the EU based on selected indicators |
Słowa kluczowe | zrównoważony rozwój, odnawialne źródła energii, sektor energetyczny, efektywność energetyczna |
Key words | sustainable development, renewable energy sources, energy sector, energy efficiency |
Abstrakt | W artykule przedstawiono wybrane kwestie aktualnie poruszane w zakresie zrównoważonego rozwoju w Unii Europejskiej, a związane jednocześnie z sektorem energetycznym. Stąd też została omówiona problematyka zasobooszczędności oraz efektywności energetycznej, produkcji energii z odnawialnych źródeł, czy też wykluczenia społecznego wywołanego brakiem dostępności do źródeł energii po przystępnej cenie. Poza analizą literatury przedmiotu został przedstawiony ranking krajów Unii Europejskiej (UE-28) pod względem poziomu rozwoju sektora energetycznego w kontekście problematyki zrównoważonego rozwoju. W tym celu przeprowadzono wielowymiarową analizę porównawczą przy użyciu wybranych w toku analizy teoretycznej 8 wskaźników dotyczących aspektów społecznych, gospodarczych i środowiskowych związanych z rozwojem sektora energetycznego. Zakres czasowy analizy obejmował 2016 r. (dostępność danych). Źródłem wartości przyjętych zmiennych był Eurostat. Przeprowadzone analizy wykazały, iż najlepszą sytuacją w zakresie sektora energetycznego na tle ogółu przebadanych państw cechowała się Dania. |
Abstract | The article presents selected issues currently discussed in the field of sustainable development in the European Union, and related at the same time to the energy sector. Therefore, the issues of resource efficiency and energy efficiency, energy production from renewable sources, or social exclusion caused by the lack of access to affordable energy sources were discussed. In addition to the analysis of the literature on the subject, the ranking of the European Union countries (EU-28) in terms of the level of development of the energy sector in the context of sustainable development was presented. For this purpose, a multidimensional comparative analysis was carried out using 8 indicators selected in the course of theoretical analysis concerning social, economic and environmental aspects related to the development of the energy sector. The time scope of the analysis covered 2016 (data availability). The source of values of the adopted variables was Eurostat. The analyzes carried out showed that the best situation in the energy sector compared to all of the countries surveyed was characterized by Denmark. |
Cytowanie | Kozar Ł. (2018) Sektor energetyczny, a wyzwania zrównoważonego rozwoju – analiza przestrzennego zróżnicowania sytuacji w UE w oparciu o wybrane wskaźniki.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 3: 173-186 |
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Pełny tekst | PRS_2018_T18(33)_n3_s173.pdf |
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43. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Cyrek M., Cyrek P. DIFFERENCE IN CONSUMPTION BETWEEN URBAN AND RURAL HOUSEHOLDS
Autor | Magdalena Cyrek, Piotr Cyrek |
Tytuł | DIFFERENCE IN CONSUMPTION BETWEEN URBAN AND RURAL HOUSEHOLDS |
Title | |
Słowa kluczowe | consumption, well-being, households, city-countryside |
Key words | |
Abstrakt | Levels of income, consumer expenditure and their structure display significant disproportions between areas of different degrees of urbanisation. These disproportions are reflected both in the objective comparison and subjectively perceived material situation of households. This study contains an assessment of the differences in income and consumption in rural areas and cities of Poland at a national level and in relation to the Subcarpathian Province, as a less developed region. The results of public statistic surveys were supplemented with the results of own research regarding the perception of the situation by the inhabitants of Subcarpathia. The scale of existing socio-economic disproportion in spatial layout and directions of changes in accordance to objective and subjective indicators were identified. The changes in the value of purchases of various types of products, levels of savings and living conditions were addressed. In order to verify the hypothesis of consumption convergence in the city-countryside system, a statistical analysis of national structures was carried out and the differences in change patterns typical for urban and rural households in Subcarpathia were identified. This research allows to conclude that there exist adverse disproportions in rural development and some signs of overcoming them on a national and regional level. |
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Cytowanie | Cyrek M., Cyrek P. |
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Pełny tekst | ESARE_2018_n2_s68.pdf |
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44. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Witkowska-Dąbrowska M. Zmiany w wielkości emisji gazów cieplarnianych i amoniaku do powietrza z działalności rolniczej w Polsce i UE – analizy z wykorzystaniem wskaźników zrównoważonego rozwoju
Autor | Mirosława Witkowska-Dąbrowska |
Tytuł | Zmiany w wielkości emisji gazów cieplarnianych i amoniaku do powietrza z działalności rolniczej w Polsce i UE – analizy z wykorzystaniem wskaźników zrównoważonego rozwoju |
Title | Changes in the Volume of Air Emissions from Gases and Selected Pollutants Originating from Agricultural Production in Poland and in the EU – Analyses Using Sustainable Development Indicators |
Słowa kluczowe | emisje do powietrza, działalność rolnicza, emisja gazów cieplarnianych i amoniaku |
Key words | atmospheric air emissions, agricultural activity, emission guidelines and ammonia |
Abstrakt | Celem badań była analiza zmian w wielkości emisji gazów cieplarnianych i amoniaku z rolnictwa w Polsce I Unii Europejskiej. W części teoretycznej odniesiono się do podjętych działań międzynarodowych dotyczących redukcji emisji. Badania oparto głownie o dane statystyczne GUS i Eurostat. W wyniku przeprowadzonych badań stwierdzono, że rolnictwo jest głównym źródłem emisji amoniaku w UE i w Polsce. Również nie bez znaczenia jest rola rolnictwa w emisji gazów cieplarnianych. Stwierdzono wahania w dynamice emisji gazów cieplarnianych zarówno Polsce jak i UE. W badanych latach odnotowano niewielki wzrost udziału rolnictwa w emisji gazów cieplarnianych. |
Abstract | The research aim was to analyse changes in the volume of greenhouse gases and ammonia produced by agriculture in Poland, against the background of the European Union, using sustainable development indicators.. The study relied mainly on statistical data from the Polish Central Statistical Office and Eurostat. Agriculture was found to be the major source of ammonia emissions in the EU and Poland. Also, the role of agriculture in emission of greenhouse gases is significant. Fluctuations in the dynamics of GHG emissions were noted in the EU and in Poland. Over the analysed time, a small increase in the share of the emission of GHG, especially methane, from farming was observed. |
Cytowanie | Witkowska-Dąbrowska M. (2018) Zmiany w wielkości emisji gazów cieplarnianych i amoniaku do powietrza z działalności rolniczej w Polsce i UE – analizy z wykorzystaniem wskaźników zrównoważonego rozwoju.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 2: 303-314 |
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Pełny tekst | PRS_2018_T18(33)_n2_s303.pdf |
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45. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Mucha-Leszko B. Causes of the European Union's Decreasing Position in the Global Economy in 2000-2016
Autor | Bogumiła Mucha-Leszko |
Tytuł | Causes of the European Union's Decreasing Position in the Global Economy in 2000-2016 |
Title | Causes of the European Union's Decreasing Position in the Global Economy in 2000-2017 |
Słowa kluczowe | global economic powers, growth factors, growth barriers, EU global position |
Key words | global economic powers, growth factors, growth barriers, EU global position |
Abstrakt | The subject of the paper is an analysis of the economic results of the main factors affecting GDP growth in the European Union in 2000-2016. The aim is to evaluate the global position of the EU as well as to identify the main factors affecting growth of the EU’s economic potential and effectiveness. The analysis also includes the long-term development gap in the EU-15/EU-28 versus the U.S.A. Quantitative and qualitative criteria were used in the assessment. Quantitative criteria include: growth rates of GDP, investments and exports, the EU’s share in global GDP, and global exports of goods and services. The qualitative criteria are: labour productivity and total factor productivity TFP. The results of the study are as follows: 1) evaluation of the EU position in the global economy (quantitative indicators) show a decline in the EU's share in global GDP, and trade and FDI were not greater than in the U.S.A.; 2) pertaining to the qualitative criteria the United States ranks better; 3) factors contributing the most to the weakening of the global economic position of the EU are: lower investment in the ICT sector compared to the U.S., differentiation of EU members in terms of their ability to grow, socio-economic divergence and a crisis in the eurozone. |
Abstract | The subject of the paper is an analysis of the economic results of the main factors affecting GDP growth in the European Union in 2000-2016. The aim is to evaluate the global position of the EU as well as to identify the main factors affecting growth of the EU’s economic potential and effectiveness. The analysis also includes the long-term development gap in the EU-15/EU-28 versus the U.S.A. Quantitative and qualitative criteria were used in the assessment. Quantitative criteria include: growth rates of GDP, investments and exports, the EU’s share in global GDP, and global exports of goods and services. The qualitative criteria are: labour productivity and total factor productivity TFP. The results of the study are as follows: 1) evaluation of the EU position in the global economy (quantitative indicators) show a decline in the EU's share in global GDP, and trade and FDI were not greater than in the U.S.A.; 2) pertaining to the qualitative criteria the United States ranks better; 3) factors contributing the most to the weakening of the global economic position of the EU are: lower investment in the ICT sector compared to the U.S., differentiation of EU members in terms of their ability to grow, socio-economic divergence and a crisis in the eurozone. |
Cytowanie | Mucha-Leszko B. (2018) Causes of the European Union's Decreasing Position in the Global Economy in 2000-2016.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 1: 159-175 |
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Pełny tekst | PRS_2018_T18(33)_n1_s159.pdf |
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46. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Komor A. Przestrzenne zróżnicowanie produkcji biomasy rolniczej pochodzenia roślinnego w państwach UE w kontekście rozwoju biogospodarki
Autor | Agnieszka Komor |
Tytuł | Przestrzenne zróżnicowanie produkcji biomasy rolniczej pochodzenia roślinnego w państwach UE w kontekście rozwoju biogospodarki |
Title | Spatial Diversification of Agricultural Biomass Production of Plant Origin in EU Countries in the Context of Bioeconomy Development |
Słowa kluczowe | biomasa, biogospodarka, państwa Unii Europejskiej, zróżnicowanie przestrzenne |
Key words | biomass, bioeconomy, Eropean Union countries, spatial diversity |
Abstrakt | Celem artykułu była identyfikacja i ocena przestrzennego zróżnicowania produkcji biomasy rolniczej pochodzenia roślinnego w państwach UE, jako podstawowego surowca wykorzystywanego do wytwarzania bioproduktów oraz bioenergii. W opracowaniu wykorzystano dane statystyczne pozyskane z EUROSTATU. Okres badawczy obejmował 2015 rok. Do interpretacji badań zastosowano statystykę opisową i parametryczną, wykorzystano wskaźniki struktury, gęstości i natężenia, a także wskaźnik korelacji Pearsona. W toku badań stwierdzono, że w 2015 roku 51,5% wytwarzanej w UE biomasy roślinnej w rolnictwie to produkty uboczne - pochodzące z resztek roślin uprawnych, z roślin pastewnych i biomasy wypasanej. Produkcja biomasy roślinnej cechowała się znacznym zróżnicowaniem przestrzennym zarówno w odniesieniu do biomasy pochodzącej z roślin uprawnych (liderami w tym zakresie były kraje: Francja, Niemcy, Hiszpania, Włochy i Polska), jak i do pozostałej biomasy (największy udział miały: Niemcy, Francja, Polska, Wielka Brytania i Włochy). W 2015 roku na terenie siedmiu krajów (tj. Niemiec, Francji, Polski, Wielkiej Brytanii, Hiszpanii, Włoch i Rumunii) wyprodukowano łącznie blisko ¾ roślinnej biomasy wytwarzanej w UE. Analizom poddano również zależności pomiędzy wielkością produkcji biomasy, potencjałem ludnościowym kraju (mierzonym udziałem w liczbie ludności UE) i potencjałem produkcyjnym rolnictwa (mierzonym udziałem w powierzchni użytków rolnych w UE), co pozwoliło na wyznaczenie czterech grup państw. |
Abstract | The aim of the article was to identify and assess the spatial diversity of agricultural biomass production of plant origin in EU countries as the basic raw material used to create bioproducts and bioenergy. The study uses statistical data obtained from EUROSTAT. The research period covered 2015. Descriptive and parametric statistics were used to interpret the study, and also the indicators of structure, density and intensity were used, as well as the Pearson correlation coefficient. The study found that in 2015 about 51,5% of plant biomass in agriculture produced in the EU were by-products - derived from crop residues, fodder crops and grazed biomass. The production of plant biomass was characterized by considerable spatial differentiation both in relation to biomass derived from arable crops (the leaders in this respect were: France, Germany, Spain, Italy and Poland) as well as to other biomass (Germany, France, Poland, Great Britain and Italy had the largest share). In 2015, nearly ¾ of the plant biomass produced in the EU was produced in seven countries (i.e. Germany, France, Poland, Great Britain, Spain, Italy and Romania). The analysis also included the dependences among the size of biomass production, the population potential of the country (measured by the share in the EU population) and the production potential of agriculture (measured in the share of agricultural land in the EU). This allowed the designation of four groups of countries. |
Cytowanie | Komor A. (2018) Przestrzenne zróżnicowanie produkcji biomasy rolniczej pochodzenia roślinnego w państwach UE w kontekście rozwoju biogospodarki.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 1: 100-110 |
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Pełny tekst | PRS_2018_T18(33)_n1_s100.pdf |
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47. |
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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48. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Voloshchuk K., Voloshchuk Y., Voloshchuk V. INNOVATIVE DEVELOPMENT OF UKRAINE
Autor | Kateryna Voloshchuk, Yuliia Voloshchuk, Vitaliy Voloshchuk |
Tytuł | INNOVATIVE DEVELOPMENT OF UKRAINE |
Title | |
Słowa kluczowe | innovation, innovative development, strategy, digital economy |
Key words | |
Abstrakt | It is determined that in economic science there is no single approach to the interpretation of the concept of ‘innovation’. It is suggested that taking into account the radical changes that are in the world economy today it is necessary to use the extended concept of innovation, which should be understood as the results of the development transformation, research, ideas and their combination into a radically new or improved technological, economic, social solution, the results of which can be applied in practice. The main indicators that determine the level of innovation development of a country or region and provide an opportunity to determine the impact on economic development are covered. The place of Ukraine in such ratings according to indicators of innovative development in 2017, 2018 and problems that cause their low level are defined. The improvement directions of the innovative development level of the country are defined and the real steps taken by the government of the country to correct the negative trends through the introduction of digital transformation of the country’s economy, the transition from raw material to high-tech production and the basis of innovative IT technologies and communications are shown. |
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Cytowanie | Voloshchuk K., Voloshchuk Y., Voloshchuk V. |
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Pełny tekst | ESARE_2018_n1_s62.pdf |
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49. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Comanescu I., Foris D., Foris T. TRENDS IN ROMANIAN AGRITOURISM IN THE CONTEXT OF SUSTAINABLE TOURISM DEVELOPMENT
Autor | Ioana Comanescu, Diana Foris, Tiberiu Foris |
Tytuł | TRENDS IN ROMANIAN AGRITOURISM IN THE CONTEXT OF SUSTAINABLE TOURISM DEVELOPMENT |
Title | |
Słowa kluczowe | agritourism, agritourism infrastructure and accommodation capacity, tourist arrivals, sustainable development |
Key words | |
Abstrakt | Agritourism plays an important role for sustainable development, acting as integrator for other economic sectors, like agriculture, transport, services, preserving the traditions and historical heritage. This study presents the analysis of the evolution of the agritourism infrastructure and of the main tourism indicators for Romania as agritourism travel destination, emphasizing the importance of this sector in the development of the tourism industry. Quantitative and comparative analyses were carried out regarding the total number and the existing accommodation capacity for tourist boarding houses and agritourist boarding houses and the numerical evolution for domestic arrivals and international arrivals throughout the period between 2006 and 2016. In conclusion, Romania is an important agritourism destination, well known at national and international level for its natural and anthropic resources in rural areas. |
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Cytowanie | Comanescu I., Foris D., Foris T. |
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Pełny tekst | ESARE_2018_n1_s81.pdf |
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50. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Chiarini B., Dagostino A., Marzano E., Regoli A. SUSTAINABILITY IN URBAN VS. RURAL AREAS: A COMPARISON OF SUBJECTIVE AND OBJECTIVE INDICATORS ACROSS EUROPEAN COUNTRIES
Autor | Bruno Chiarini, Antonella Dagostino, Elisabetta Marzano, Andrea Regoli |
Tytuł | SUSTAINABILITY IN URBAN VS. RURAL AREAS: A COMPARISON OF SUBJECTIVE AND OBJECTIVE INDICATORS ACROSS EUROPEAN COUNTRIES |
Title | |
Słowa kluczowe | perception of pollution, concentration of particulate matter, cross-country comparison |
Key words | |
Abstrakt | In this paper, starting from the approach described in Chiarini et al. (2017), who have provided a subjective measure of the environmental impact of cities (subjective EIC) at the country level, we extend the analysis comparing their indicator with the objective measure of the environmental impact of cities (objective EIC) suggested by Agenda 2030, namely mean levels of fine particulate matter (PM2.5 and PM10). The comparison between subjective and objective indicators of the EIC is a novelty in the panorama of the available studies, and provides useful results for policy analysis. In fact, the relative ranking of countries changes according to the metric adopted, and the analysis of association with macroeconomic indicators of development and growth reveal that subjective and objective EIC indicators might influence/be influenced by different macrofactors. |
Abstract | |
Cytowanie | Chiarini B., Dagostino A., Marzano E., Regoli A. |
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Pełny tekst | ESARE_2018_n1_s140.pdf |
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51. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Kharchenko V., Kharchenko H. MODELLING OF INVESTMENT SUPPORT OF USE OF RESOURCE POTENTIAL OF AGRICULTURAL ENTERPRISES
Autor | Volodymyr Kharchenko, Hanna Kharchenko |
Tytuł | MODELLING OF INVESTMENT SUPPORT OF USE OF RESOURCE POTENTIAL OF AGRICULTURAL ENTERPRISES |
Title | |
Słowa kluczowe | modelling, investment support, capital investment, resource potential, agricultural enterprise |
Key words | |
Abstrakt | In the study the features and dynamics of investment support of Ukrainian agricultural enterprises are investigated. It concerns estimated investment in fixed assets of Ukrainian agrarian enterprises by sources of financing. It is proved that investment support is the most important prerequisite for the effective functioning and development of agricultural enterprises, as it contributes to an increase in resource potential, thus increasing industry efficiency, strengthening the country’s food security, creating preconditions for the development of the social sphere and increasing soil fertility. The main problems of enticing investments in the agrarian sphere are considered. Integral indicators of ensuring and efficiency of the use of resources in agricultural production is calculated. Modelling of investment support for the use of resource potential of agricultural enterprises is carried out. The optimal directions of increase of investment support of use of resource potential of Ukrainian agricultural enterprises are offered. |
Abstract | |
Cytowanie | Kharchenko V., Kharchenko H. |
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Pełny tekst | ESARE_2018_n1_s321.pdf |
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52. |
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 |
Title | |
Słowa kluczowe | insurance indemnity, weather variables, agriculture |
Key words | |
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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53. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Kapaj I., Meco M., Tomorri I. THE FARM TYPOLOGIES AND ITS PERFORMANCE IN ALBANIA (CASE OF ELBASAN)
Autor | Ilir Kapaj, Maksim Meco, Ilir Tomorri |
Tytuł | THE FARM TYPOLOGIES AND ITS PERFORMANCE IN ALBANIA (CASE OF ELBASAN) |
Title | |
Słowa kluczowe | Elbasani region, farm typology, farm performance |
Key words | |
Abstrakt | The aim of this paper is to determine the farm typology in Elbasan region and orient policy maker’s agriculture support scheme. Albania is divided into 12 regions and 61 municipality. Region of Elbasan is one of the intermediate ones4 and consists of 4 districts (district of Elbasan, Gramsh, Librazhd and Peqin). Elbasan ranked third by the availability of agricultural land in the country after Fier and Korca (72,872 ha or 10.4% of the agricultural land area at country level). Despite the size of the agricultural land area, it should be considered that a good part of it lies in hilly and mountainous part especially in Librazhd and Gramsh districts. Besides construction and development services, there is observed a growing trend of agricultural activity especially in terms of olive and vegetables cultivation in open field and greenhouses. In this region operate about 32,439 farms. The average farm family size is 4.9 persons, while the national average farm size is 4.5 persons (MAFCP, 2012). The farm typology was determined using nine indicators. Based on these indicators are identified the following type of cluster/typology for Elbasani district: poly-culture for market; livestock; leisure farms; fruit trees; arable crop farm; self-sufficiency. The farm performance was determined using factors productivity which reveals that farms that belong to the poly-culture for market, livestock and self-sufficient clusters are performing better than other clusters. |
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Cytowanie | Kapaj I., Meco M., Tomorri I. |
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Pełny tekst | ESARE_2018_n2_s59.pdf |
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54. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Jaworska M. FOOD IMPORTS AND FOOD SECURITY OF MAIN GLOBAL MARKET PLAYERS
Autor | Magdalena Jaworska |
Tytuł | FOOD IMPORTS AND FOOD SECURITY OF MAIN GLOBAL MARKET PLAYERS |
Title | |
Słowa kluczowe | food, food security, importers, international trade |
Key words | |
Abstrakt | The main purpose of this paper was to assess the openness of trade in food products in the context of changes in food security levels. The period covered by this study is 1995–2015. The research was based on outcomes reported by main players of the global market. The basic source of data were online databases and reports. Once collected, the data was analysed with the use of quantitative and qualitative research methods. Selected statistical methods, indices of structure and dynamics, indicators of economic openness and indicators related to three dimensions of security (availability, access and stability) were used. The analysis resulted in numerous conclusions. In the study period, food imports followed a global growth trend with alternating periods of contrasting developments. In the countries covered by this study, the openness of trade in food was higher than that of global imports and followed a growth trend. The singularities of the development of the agri-food sector were reflected in decreasing values of the exports-to-imports ratio, and were decisive for the positive growth rate of per capita agri-food output. According to the analysis of relationships between changes in trade levels and selected food security indicators, imports proved to be positively correlated with physical and economic availability, and negatively correlated with stability. Based on the results, a general conclusion may be drawn that economic growth resulted in structural changes which contributed to improving access to food. |
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Cytowanie | Jaworska M. |
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Pełny tekst | ESARE_2018_n2_s245.pdf |
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55. |
Economic Sciences for Agribusiness and Rural Economy, 2018 |
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Inna T. SOCIAL-DEMOGRAPHIC FACTORS FOR DEVELOPMENT OF AGRICULTURAL TERRITORIES OF POLAND AND UKRAINE
Autor | Tsvihun Inna |
Tytuł | SOCIAL-DEMOGRAPHIC FACTORS FOR DEVELOPMENT OF AGRICULTURAL TERRITORIES OF POLAND AND UKRAINE |
Title | |
Słowa kluczowe | rural areas, depopulation, birth rate, mortality, population structure, aging |
Key words | |
Abstrakt | Rural areas are an important component of the national economy and perform the following functions: efficient and competitive production; rational saving and protection of natural resources; assistance to rural population expanded reproduction; insurance of employment, proper level and quality of life as well as the revival of historical and the formation of new cultural traditions. The aim of the study is to assess the sociodemographic development of rural areas of the Ukraine and Poland and to identify common and distinctive features of their development. In order to assess the level of rural area development, the following indicators were used: rural population size and structure, fertility, mortality and expected life expectancy of the rural population. The aim of the study is to assess trends in the development of demographic processes and to develop proposals for the sustainable development of Ukrainian rural areas, taking into account the experience of Poland. |
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Cytowanie | Inna T. |
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Pełny tekst | ESARE_2018_n2_s294.pdf |
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56. |
Annals of Marketing Management and Economics, 2018 |
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Lyulyov O. MACROECONOMIC STABILITY AND SOCIAL PROGRESS IN THE EU MEMBER STATES AND UKRAINE
Autor | Oleksii Lyulyov |
Tytuł | MACROECONOMIC STABILITY AND SOCIAL PROGRESS IN THE EU MEMBER STATES AND UKRAINE |
Title | |
Słowa kluczowe | economic growth, unemployment, macroeconomic stability, social factors, European Union, Ukraine. |
Key words | |
Abstrakt | The main purpose of the study is the role and influence of social factors on macroeconomic stability. The research is based on the hypothesis that countries with greater macroeconomic stability achieve greater social progress. The integrated index of human capital is proposed as a target for the construction of an appropriate system for monitoring social progress, and in the future – identifying the impact on macroeconomic stability. The main stages of estimating the integral index of human capital are: identification of relevant indicators that will form each of the sub-indices; filtering the selected indicators in the previous stage based on the analysis of the correlation matrix of each of the subindices; normalization of indicators in each of the subindices, calculation of the integral index for each of the subindices, calculation of the final integral index of human capital. The calculations of the integrated capital human capital index for some of the EU countries (Latvia, Lithuania, Poland, Croatia, Romania) and Ukraine for the period 2000–2015 allowed us to conclude that Romania and Ukraine were on a marginal level of social progress, while Lithuania, Poland and Croatia in the range of moderate level. The use of the OLS (the least squares) method to determine the significance of changes in social progress to macroeconomic stability has revealed a positive and statistically significant impact of social progress on macroeconomic stability. |
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Cytowanie | Lyulyov O. |
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Pełny tekst | AMME_2018_n1_s53.pdf |
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57. |
Annals of Marketing Management and Economics, 2018 |
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Boychenko V., Tsyhaniuk D. STRATEGIC MANAGEMENT OF TRANSNATIONAL BANKS IN THE INTERNATIONAL MARKET AFTER THE GLOBAL FINANCIAL CRISIS
Autor | Vita Boychenko, Dmytro Tsyhaniuk |
Tytuł | STRATEGIC MANAGEMENT OF TRANSNATIONAL BANKS IN THE INTERNATIONAL MARKET AFTER THE GLOBAL FINANCIAL CRISIS |
Title | |
Słowa kluczowe | strategic management, transnational banks, international market, financial crisis, post-crisis development. |
Key words | |
Abstrakt | The article identifies post-crisis determinants of strategic management of transnational banks in the market of direct investments by means of the correlation analysis of the dependence of growth of external assets of transnational banks of European countries on the indicators of profitability and financial stability of banking systems of the countries of placement of subsidiary banks, the efficiency of the transmission mechanism of monetary policy in these countries, the structure of a complex financial crisis and the speed of post-crisis recovery of the country, ease of doing business. There is no obvious connection between the presence of foreign banks in the banking system and indicators of profitability, ease of doing business and financial stability of banking systems. This is confirmed by the correlation analysis of 45 indicators on the example of 26 European countries for 2009–2011 (the period immediately after the end of the global financial crisis of 2008–2009). It is proved that in the post-crisis period, for transnational banks, the decision of increasing/decreasing the volume of assets in the banking system of the host country is dominated by: 1) the structure of a complex financial crisis; 2) the speed of post-crisis recovery of economies and banking systems of these countries; 3) the effectiveness of the transmission mechanism of monetary policy in these countries |
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Cytowanie | Boychenko V., Tsyhaniuk D. |
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Pełny tekst | AMME_2018_n1_s131.pdf |
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58. |
Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, 2018 |
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Wyrobek J. Analiza porównawcza sytuacji finansowej farm wiatrowych w wybranych krajach Unii Europejskiej w latach 2009-2017
Autor | Joanna Wyrobek |
Tytuł | Analiza porównawcza sytuacji finansowej farm wiatrowych w wybranych krajach Unii Europejskiej w latach 2009-2017 |
Title | Comparative Analysis of Wind Farms Financial Situation in Selected Countries of the European Union in years 2009-2017 |
Słowa kluczowe | farmy wiatrowe, źródła odnawialne energii, finanse przedsiębiorstw energetycznych |
Key words | wind farms, renewable resources, corporate finance |
Abstrakt | Celem publikacji była jest analiza porównawcza wybranych wskaźników sytuacji finansowej przedsiębiorstw, których główną działalnością jest generowanie energii wiatrowej i jej sprzedaż do sieci energetycznej. W publikacji porównano wybrane średnie wartości wskaźników finansowych dla następujących krajów Unii Europejskiej: Austria, Belgia, Bułgaria, Chorwacja, Czechy, Dania, Estonia, Finlandia, Francja, Grecja, Hiszpania, Holandia, Irlandia, Litwa, Łotwa, Niemcy, Polska, Portugalia, Rumunia, Słowacja, Słowenia, Szwecja, Węgry, Wielka Brytania, Włochy. Wnioskiem z badań jest wysoka rentowność farm wiatrowych w Austrii, Belgii, Portugalii i Wielkiej Brytanii, co pokrywa się z wysokimi cenami energii elektrycznej w tych krajach. Kraje z niższymi cenami energii odnotowały zwykle gorsze wyniki finansowe farm wiatrowych. Są jednak od tej reguły wyjątki (farmy wiatrowe w Niemczech mimo wysokich cen energii elektrycznej nie uzyskiwały bardzo dobrych wyników finansowych). |
Abstract | The aim of the publication was a comparative analysis of selected indicators of the financial situation of enterprises whose main activity is the generation of wind energy and its sale to the power grid. The publication compared selected average values of financial ratios for the following European Union countries: Austria, Belgium, Bulgaria, Croatia, Czech Republic, Denmark, Estonia, Finland, France, Greece, Spain, the Netherlands, Ireland, Lithuania, Latvia, Germany, Poland, Portugal, Romania, Slovakia, Slovenia, Sweden, Hungary, Great Britain, Italy. The conclusion from the research is the authors observed high profitability of wind farms in Austria, Belgium, Portugal and the United Kingdom, which coincides with the high electricity prices in these countries. Countries with lower energy prices usually recorded worse financial results of wind farms. There are, however, exceptions to this rule (wind farms in Germany, despite high electricity prices, did not achieve very good financial results). |
Cytowanie | Wyrobek J. (2018) Analiza porównawcza sytuacji finansowej farm wiatrowych w wybranych krajach Unii Europejskiej w latach 2009-2017.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 18(33), z. 4: 504-514 |
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Pełny tekst | PRS_2018_T18(33)_n4_s504.pdf |
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59. |
Annals of Marketing Management and Economics, 2018 |
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Csath M. The key to increasing competitiveness is investing into human resources
Autor | Magdolna Csath |
Tytuł | The key to increasing competitiveness is investing into human resources |
Title | |
Słowa kluczowe | fourth industrial revolution, industrial structure, value chain, human resources, education, life-long learning, multidimensional skills |
Key words | |
Abstrakt | This paper focuses attention on the fact that the V4 (Visegrad) countries in general are poorly prepared to capitalize on the opportunities offered by the fourth industrial revolution, and less protected against the risks created by it. First of all economic structural indicators prove that the economies of the V4 countries are still not knowledge based, and can be characterized by low value added activities. In some cases Poland stands out with slightly better results, but all in all V4 countries lag behind the economically more advanced countries for all the analysed indicators. Secondly these countries do not Invest enough into their human resources. The article suggests that unless the V4 countries start putting stronger emphasis on developing human skills and local knowledge they will lose a historic opportunity for becoming successful nations which are able to benefit from the ongoing processes of the fourth industrial revolution by moving up on the value chain. |
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Cytowanie | Csath M. |
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Pełny tekst | AMME_2018_n2_s31.pdf |
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60. |
Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, 2017 |
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Marcinkevičiūtė L., Świrska A., Žukovskis J. MANAGEMENT OF NATURAL RESOURCES WITH AIM SUSTAINABLE RURAL DEVELOPMENT: COMPARATIVE ANALYSIS OF THE CASE OF THE LITHUANIAN ELDERSHIP AND POLISH MUNICIPALITY
Autor | Lina Marcinkevičiūtė, Anna Świrska, Jan Žukovskis |
Tytuł | MANAGEMENT OF NATURAL RESOURCES WITH AIM SUSTAINABLE RURAL DEVELOPMENT: COMPARATIVE ANALYSIS OF THE CASE OF THE LITHUANIAN ELDERSHIP AND POLISH MUNICIPALITY |
Title | |
Słowa kluczowe | |
Key words | management of natural resources, management of resources based on community needs, sustainable rural development |
Abstrakt | |
Abstract | The article analyzes sustainable rural development as development of rural localities that promotes progressive and effective management of resources, in coordination of their protection and sustainable usage with regard to requirements set in different areas (economics, social development, culture, law and environmental protection). The natural resources’ sorts, functions and indicators related to usage of natural resources are described. The strengths and weaknesses of environmental changes, the solution possibilities of the sorest problems and probable threats are named. The essential attention is given to the main components of the environment – air, water, climate, landscape, and problems of biological diversity. The article stresses the sustainable development of natural resources through strategic usage of natural resources that is beneficial to rural localities and residents. The described research was carried out in Zasliai eldership of Kaisiadorys region (Lithuania) and in Siedlce Municipality of Siedlce Poviat (Poland). The condition of its natural resources, management tools and significance for sustainable development of the locality were assessed. The improvement directions of management of natural resources in the eldership were named and substantiated with regard to the components of sustainable development (economic, environmental protection and social-cultural). |
Cytowanie | Marcinkevičiūtė L., Świrska A., Žukovskis J. (2017) MANAGEMENT OF NATURAL RESOURCES WITH AIM SUSTAINABLE RURAL DEVELOPMENT: COMPARATIVE ANALYSIS OF THE CASE OF THE LITHUANIAN ELDERSHIP AND POLISH MUNICIPALITY.Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing [t.], nr 18(67): 200-217 |
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Pełny tekst | PEFIM_2017_n67_s200.pdf |
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