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HOW HAS TIME PROGRESSED WITH THE EU REGIONAL COMPETITIVENESS INDEX? CONTINUED NUMBER 2. WHAT CHANGE DID THE LAST EDITION OF RCI 2019 BRING?

HOW HAS TIME PROGRESSED WITH THE EU REGIONAL COMPETITIVENESS INDEX? CONTINUED NUMBER 2. WHAT CHANGE DID THE LAST EDITION OF RCI 2019 BRING?

Author(s): Lukáš Melecký / Language(s): English Publication Year: 0

Regional Competitiveness Index (RCI) has been measuring the significant factors of competitiveness over the past ten years for all the NUTS 2 level regions across the European Union (EU). RCI measures with more than 70 comparable indicators the ability of a region to offer an attractive and sustainable environment for firms and residents to live and work. RCI results are standardly illustrated with interactive maps and a range of interactive web tools, which is attractive as well as for the public. The scorecards make it easy to compare any region with the EU and regions with a similar level of GDP per head. Users can easily see where their region stands on aspects such as governance, infrastructure, including the digital networks, health, human capital and labour market and innovation. RCI results confirm a polycentric pattern with a strong performance of most capitals and regions with large cities, that benefit from agglomeration effects, better connectivity and high levels of human capital. Other regions in the same country in some cases, score much worse. The north-west and south-east divide across the EU is still clear and visible. The paper aims at comprehensive analysis of RCI approach is performed by the systematic review across the editions. Results show that comparing RCI over time is complicated because all editions incorporate slight modifications. The authors of RCI try to keep changes to a minimum so as not to affect its overall structure and to maintain a high degree of comparability across the editions. However, despite all its shortcomings, RCI proved to be a robust way to summarise many different indicators into one index.

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ÚZEMNÍ DIFERENCIACE STÁTNÍCH PROGRAMŮ PODPORY REGIONÁLNÍHO ROZVOJE COBY NÁSTROJE REGIONÁLNÍ POLITIKY ČR V LETECH 2013-2018

ÚZEMNÍ DIFERENCIACE STÁTNÍCH PROGRAMŮ PODPORY REGIONÁLNÍHO ROZVOJE COBY NÁSTROJE REGIONÁLNÍ POLITIKY ČR V LETECH 2013-2018

Author(s): Michal Ševčík,Ondřej Konečný / Language(s): Czech Publication Year: 0

The aim of the presented paper is to reveal the territorial differentiation of the use of state regional development support programs financed by the Ministry of Regional Development of the Czech Republic in 2013-2018. Territorial differentiation is examined through three indicators: the share of financial allocation of programs, the share of the number of implemented projects and the financial allocation of programs per capita for individual regions of the Czech Republic. The results of the analysis show that the total amount of financial support for regions varies in the relevant years depending on the nature of regional problems and the time-limited existence of some programs. It was also found that South Bohemian Region which received the largest part of the total allocation in the period, even in terms of per capita, had the largest absorption capacity of the programs. The justification lies in the relatively high support for the remediation of flood damage after 2013. In contrast, the Karlovy Vary region, which is characterized by the localization of a number of "state-supported regions", received a relatively small amount of support compared to other regions (related to size of the area).

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The Finance-Growth Nexus for Turkey over the Period 1960-2020: A Markov-Switching Regime Shift Model

The Finance-Growth Nexus for Turkey over the Period 1960-2020: A Markov-Switching Regime Shift Model

Author(s): Ahmet Gökçe Akpolat,Hasan Tansoy / Language(s): English Publication Year: 0

This paper addresses the finance-growth relationship employing Markov-switching regime shift model for Turkey over the period 1960-2020. Growth rate of real GDP is employed as a measure of economic growth while the change in ratio of broad money to GDP and the change in the ratio of domestic credits to GDP are used as two indicators of financial development. Findings show that a positive change in the ratio of broad money to GDP reduces the economic growth rate both before and after the global crisis. On the other hand, a positive change in the ratio of domestic credits to GDP increases the rate of economic growth in both of these two periods. Moreover, an increase in the ratio of broad money to GDP reduces the economic growth rate less before the global crisis than after the global crisis. Similarly, an increase in the ratio of domestic credits to GDP increases the economic growth rate more before the global crisis than after the global crisis. As a general assessment, it is seen that the positive effect of finance on the Turkish economy has weakened after the global crisis. In addition, it is considered that an increase in the money supply more than the economic growth rate can decrease the potential growth rate of the country.

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Suriyeli Sığınmacıların Gaziantep Sanayisine Katkıları

Suriyeli Sığınmacıların Gaziantep Sanayisine Katkıları

Author(s): Tuğba Özyıldız / Language(s): Turkish Publication Year: 0

Arap Baharı, Arap coğrafyasında yaşanan reformist ve siyasal hareketleri kapsayan süreci ifade etmektedir. 2010 yılında Tunus’ta başlayan ve zamanla diğer Arap ülkelerini etkisi altına alan Arap Baharı, halkın siyasi ve ekonomik taleplerinin iktidarlar tarafından yerine getirilmemesi nedeniyle ortaya çıkmıştır. Siyasi istikrarsızlık, ülke yönetimine ilişkin yetkilerin tek bir kişide toplanması, temel hak ve özgürlüklerin sınırlandırılması, ülke kaynaklarının eşit paylaşılmaması, düşük refah seviyesi, yolsuzluk ve ekonomik istikrarsızlık gibi bir dizi faktör birçok ülkede kitlesel protestoların kısa süre içinde şiddetli çatışmalara dönüşmesine neden olmuştur (Bozkurt, 2018:58; Korotayev, Issaev, Malkov ve Shishkina, 2014:152).

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ČERPANIE FINANČNÝCH PROSTRIEDKOV PRE OBLASŤ ŽIVOTNÉ PROSTREDIE V NITRIANSKOM SAMOSPRÁVNOM KRAJI V ROKOCH 2014-2018

ČERPANIE FINANČNÝCH PROSTRIEDKOV PRE OBLASŤ ŽIVOTNÉ PROSTREDIE V NITRIANSKOM SAMOSPRÁVNOM KRAJI V ROKOCH 2014-2018

Author(s): Daša Oremusová,Hilda Kramáreková,Magdaléna Nemčíková,Matej Vojtek / Language(s): Slovak Publication Year: 0

Since Slovakia's accession to the EU, European funds have become an important source of financing for regional development, which are provided on the basis of elaborated regional development programs at various hierarchical levels. The Environment area has become an inevitable priority area of each such document responding to the current state and quality of environmental components in accordance with sustainable development. The aim of the paper is to evaluate the allocation of funds for the Environment priority area in the Nitra Self-governing Region during 2014 – 2018. The funds were identified for individual measures according to the districts of the region while the focus of projects and sources of their financing were also evaluated. Several methods were used, such as system analysis (grouping and evaluation of information), comparative analysis in creating own databases, mathematical-statistical methods, etc. During the individual years, an average of more than 50 million euros were addressed to the Nitra Self-governing Region. The largest districts of the region (Nitra, Levice and Komárno) received the most funds (59.7 %). In 2018, more than half (52.9 %) of funds came from the European Structural and Investment Funds from the Operational Program Research and Innovation and 37.8 % from the Operational Program Quality of Environment.

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Enflasyondaki İstikrarsızlığın CO2 Emisyonuna Etkileri: Türkiye Örneği

Enflasyondaki İstikrarsızlığın CO2 Emisyonuna Etkileri: Türkiye Örneği

Author(s): Ayşe Arı / Language(s): Turkish Publication Year: 0

Environmental pollution and inflation are among the most important problems for developing countries. In recent years, it has been stated that there is a relationship between instability in inflation and environmental pollution. The aim of this study is to investigate the effect of inflation instability on CO2 emissions for the Turkish economy. In this context, the period of 1974-2015 was analyzed by using the Bayern-Hanck (2013) cointegration test and, FMOLS and CCR estimators. According to the results, inflation instability has positive impact on CO2 emissions. It is also seen that the increase in energy consumption, trade openness and economic growth cause increase in CO2 emissions. The development of the financial sector is negatively related to CO2 emissions. In conclusion, we can say that a stable inflation and a strong financial system will contribute to the reduction of CO2 emissions. For this reason, the authorities will be able to gain in both respects by implementing policies to ensure stability in inflation which also contribute to the reduction of environmental pollution.

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AB Yeşil Mutabakatı’nın ve Dijitalleşmenin Türkiye’deki Beyaz Eşya Sektörü Bağlamında Değerlendirilmesi

AB Yeşil Mutabakatı’nın ve Dijitalleşmenin Türkiye’deki Beyaz Eşya Sektörü Bağlamında Değerlendirilmesi

Author(s): Aydan Arasan Türe,Betül Yüce Dural / Language(s): Turkish Publication Year: 0

The EU Green Deal aims to transition to a circular economy in order to prevent the climate crisis and to use resources efficiently, especially by supporting changes in production with digital solutions. It is predicted that many sectors will be affected by these changes and will face threats and opportunities. Since the Turkish white goods sector is an important exporter of the EU, it has to adapt to this change in order to maintain its competitiveness and gain an advantage. This study evaluates the current situation of the sector and evaluates the applicability of green and digital transformation in the sector by using SWOT and PEST analysis methods. As a result of the analyses made, it was determined that Turkey's technological infrastructure should be strengthened for the development of the Turkish white goods sector, exchange rate fluctuations had a negative impact on the development of the sector and thus slowed down the adaptation to the green and digital transformation process. It has been concluded that the Green Deal and digital transformation are a priority issue for the protection and development of the mature ecosystem of the Turkish white goods industry in the international market.

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Neoliberal Politikalar ve Döngüsel Ekonomi Çerçevesinde Dünya Ekonomisinin Dizaynina Yönelik Eleştirel Bir Bakış: Afrika ve Latin Amerika Ülkeleri

Neoliberal Politikalar ve Döngüsel Ekonomi Çerçevesinde Dünya Ekonomisinin Dizaynina Yönelik Eleştirel Bir Bakış: Afrika ve Latin Amerika Ülkeleri

Author(s): Erdem Selman Develi / Language(s): Turkish Publication Year: 0

İnsanlık tarihi boyunca önemini koruyan en temel faktörlerden biri olan tüketim alışkanlıklarının, dünya ekonomisinde meydana gelen dönüşümlerle bağlantılı olarak hem bireysel hem de toplumsal açıdan değiştiği görülmektedir. Bununla birlikte insanların ve toplumların tüketim alışkanlıklarının yıllar içerisinde değiştiği görülmektedir. Bu doğrultuda özellikle Sanayi Devrimi ile birlikte insanların adeta tüketim hırsı ile kuşatılması ve kullanılan ürünlerin belirli bir süre sonra atık haline gelmesi, doğrusal ekonomi kavramı ile açıklanmaktadır. Bu yaklaşımda, elde edilen ürünlerin belirli bir süre kullanıldıktan sonra atılması, aslında tüketim hırsı ile kuşatılan insanın sürekli yeni bir şeyler tüketmesi anlamına gelmektedir. Ancak elde edilen bir ürünün kullanıldıktan sonra atılması, aslında ülke ekonomileri için bir kayıp anlamına gelmektedir. Ülkelerin ekonomik anlamda bu kaybını en aza indirebilmek amacıyla hem insanların sürekli tüketebilecekleri hem de ülkelerin tüketim sonucunda ortaya çıkan atığı tekrar hammadde olarak değerlendirebilecekleri yeni bir sistem inşa edilmiş ve bu sistem döngüsel ekonomi şeklinde kavramsallaştırılmıştır.

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Kadro Dergisinden Yönetim Anlayışı Üzerine Notlar

Kadro Dergisinden Yönetim Anlayışı Üzerine Notlar

Author(s): H. Fatih Yakut / Language(s): Turkish Publication Year: 0

Kadro Dergisi 1932 Ocak ayında “Siyasi ve entelektüel” türde yayın olarak hayata başlamıştır. Derginin yayınlandığı 1932- 1934 yılları arasında, yönetim anlayışının düşünsel dünyasında, bir tarafta batı dünyasında, 1929 ekonomik krizi ile tartışılan serbest piyasa düşüncesi, diğer taraftan ise Marksist diyalektik anlayışta, “maddi dünyanın bilinçli şekillendirilmesi ile insan davranışlarının kendiliğinden şekilleneceği” düşüncesinin olduğu bir dönemdir. Dönemdeki bir başka gelişme ise ikinci dünya savaşına giden süreç içinde, yerel ve radikal bir akım olarak Nasyonal Sosyalizm’in yükselme döneminde olmasıdır.

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ЗНАЕМ ЛИ ДОСТАТЪЧНО ЗА ДЕТСКАТА БЕДНОСТ? ПРОСЛЕДЯВАНЕ НА ВЪЗДЕЙСТВИЕТО НА ПАНДЕМИЯТА ВЪРХУ ДЕЦАТА В РИСК ОТ БЕДНОСТ И СОЦИАЛНО ИЗКЛЮЧВАНЕ

ЗНАЕМ ЛИ ДОСТАТЪЧНО ЗА ДЕТСКАТА БЕДНОСТ? ПРОСЛЕДЯВАНЕ НА ВЪЗДЕЙСТВИЕТО НА ПАНДЕМИЯТА ВЪРХУ ДЕЦАТА В РИСК ОТ БЕДНОСТ И СОЦИАЛНО ИЗКЛЮЧВАНЕ

Author(s): Maria Brestnichka / Language(s): Bulgarian Publication Year: 0

Child-related crisis prevention and recovery strategies have a key place among strategies for rebuilding societal systems after the COVID-19 pandemic in both the short and long term. The pandemic has registered difficulties in accessing key services for probably the largest group of vulnerable children – children living at risk of poverty and social exclusion. It is essential to track the impact of the pandemic not only on traditional poverty indicators, but also on financial investment to address the consequences and achieve access and quality of key services.

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USKLAĐIVANJE VANJSKE POLITIKE BOSNE I HERCEGOVINE PREMA EVROPSKOJ UNIJI
4.50 €

USKLAĐIVANJE VANJSKE POLITIKE BOSNE I HERCEGOVINE PREMA EVROPSKOJ UNIJI

Author(s): Asmir Mujanović / Language(s): Bosnian Publication Year: 0

Accession to the European Union for Bosnia and Herzegovina means improving the life and work of all citizens. The processes and procedures of European integration require adaptation of the institutional framework and legal system in all areas, but also economic development, and more intensive foreign policy action in areas that affect the dynamics of relations between BiH and the EU. In all activities, the active role of all segments of society, especially young people, who have an interest in BiH's membership in the EU, is necessary, given that it will affect all aspects of life. Integrating requires activism and the commitment of everyone in the processes that must make changes in the entire society. All this is possible with the activism and engagement of all social factors and competent, public, private and civil sectors. The European integration process of Bosnia and Herzegovina requires significant reforms in all spheres of life, where a special place should be taken in the preparation of the institutions and administrative bodies of Bosnia and Herzegovina in order to be efficient in performing the tasks that are set. This work has the primary goal of pointing out the importance of foreign policy action in areas that affect the dynamics of relations between Bosnia and Herzegovina and the European Union.

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Sustainable food production and processing—sustainable agriculture and biotechnological approaches in food chain

Sustainable food production and processing—sustainable agriculture and biotechnological approaches in food chain

Author(s): Daniela Gwiazdowska,Katarzyna Marchwińska,Krzysztof Juś / Language(s): English Publication Year: 0

The current trend of the increasing human population as well as the evolution of consumption patterns, increasing food demand and growing amounts of food waste influence changes along the entire food chain, from agricultural systems and natural resources to processing. It is worth underlining that the agri-food industry is considered one of the most important sectors of economic development in the world. However, the increased demand for food is depleting natural resources, causing soil erosion, landscape biodiversity loss and environmental pollution worldwide, creating new challenges for food security and sustainable food production. Therefore, sustainable agriculture and new technologies and approaches play an increasingly significant rolein reducing negative environmental impacts while ensuring food safety. It stays in line with the model of food production development promoted by the Food and Agriculture Organization of the United Nations, according to which sustainable agriculture means the production of healthy, high-quality food in an environmentally friendly way, caring for animal welfare and protecting biodiversity, as well as ensuring income for farmers. This approach is also consistent with many concepts focused on the issue of sustainable, eco-friendly food production, such as development of sustainable agriculture, the One Health concept, Climate-Smart Agriculture, the European Green Deal and the Farm to Fork Strategy, strongly emphasising efforts to create a healthier and more sustainable food system.

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Shqipëria dhe shqiptarët e Azerbajxhanit
5.00 €

Shqipëria dhe shqiptarët e Azerbajxhanit

Author(s): Kopi KYÇYKU / Language(s): Albanian Publication Year: 0

Mbretëria Shqiptare, si një ngrehinë shtetërore e hershme dhe e rëndësishme, e shfaqur në pjesën veriore të Azerbajxhanit të sotëm, shtrihej nga Kaukazi i Vogël, në rrjedhën e poshtme të lumenjve Kura dhe Araks, deri në degëzimet verilindore të vargmaleve të Kaukazit të Sipërm. Shqiptarët kaukazianë, sikurse shprehej Straboni, jetonin midis “Iberikëve dhe Detit Kaspik”.

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Hospodářský rozměr české zahraniční politiky

Hospodářský rozměr české zahraniční politiky

Author(s): Štěpánka Zemanová / Language(s): Czech Publication Year: 0

V letech 2010 a 2011 panovalo v oblasti podpory vnějších ekonomických vztahů ČR (VEV ) značné napětí díky kompetenčním sporům mezi dvěma klíčovými aktéry – ministerstvem zahraničních věcí (MZV ) a ministerstvem průmyslu a obchodu (MPO ). Toto napětí měla na další dva roky zmírnit Dohoda o garantované úrovni služeb v oblasti prosazování obchodních zájmů českých firem, uzavřená mezi ministerstvy koncem června 2011. Dohoda však zdaleka neřešila problém dvoukolejnosti aktivit obou ministerstev, který rozvoj této oblasti české zahraniční politiky dlouhodobě limituje. Už první měsíce roku 2012 ukázaly, že rivalita mezi ministerstvy přetrvává a institucionální zájmy navzdory pokračující hospodářské krizi vystupují nad zájmy českých podnikatelských subjektů.

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RAT BEZ BARUTA I UBRZANJE NAUČNO-TEHNIČKOG PROGRESA
10.00 €

RAT BEZ BARUTA I UBRZANJE NAUČNO-TEHNIČKOG PROGRESA

Author(s): Radmilo Todosijević,Miloš Todosijević / Language(s): Serbian Publication Year: 0

Wiener’s prognostic. Stands towards future. Overflow of digitalization, absence of market, AI, new ways of communication ”everyone with everyone” and fall of cost of mediation. War and materialization of results of scientific and technical achievements. Own state development is in the esence the greatest protection against greedines of capital and its globalistic models. Complex products and development of basiic and complementary capacities, assume possible diversity of regional integrations. If man’s greatness is in liberation of destiny, he will co front it with knowledge, humanity and strive twords self sustainability.

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ВИШЕСТРУКА КРИЗА, ВИШЕСТРУКА ТРАНЗИЦИЈА И НОВА УЛОГА РАЧУНОВОДСТВА: IFRS СТАНДАРДИ ОДРЖИВОСТИ S1/S2
10.00 €

ВИШЕСТРУКА КРИЗА, ВИШЕСТРУКА ТРАНЗИЦИЈА И НОВА УЛОГА РАЧУНОВОДСТВА: IFRS СТАНДАРДИ ОДРЖИВОСТИ S1/S2

Author(s): Dragan Đuričin / Language(s): Serbian Publication Year: 0

In the last stage of human development known as Anthropocene, global 'warming and climate change, along iwith related imbalances in physical and biological subsystems, are evident to all, as well as their negative impact on socio-economic subsystem of the planet as “system dynamics” in terms of J. Forrester. After almost two centuries of industrialization, market economy and political democracy as the main drivers of socio-economic prosperity have been transformed into frictions, bringing socio-economic system in persistent and deep regression. The impact of greenhouse gas emissions, due to uncontrolled industrialization, urbanization and massive transport, on global 'warming and climate change are scientifically verified facts. As for the socio-economic system, no doubt that the current crisis is a consequence of structural imbalances entrenched in economic neoliberalism, along with imbalances due to misconceptions in providing reactive economic policies to address inbuilt imbalances. In the meantime, new disrupters emerged as a result of the impact of external asymmetric shocks. They have even further cemented the existing deep structural imbalances and developed new ones. Major external asymmetric shocks such as the climate emergency, the biotic risk implosion, and an overwhelming impact of (geo)politics on the economy and society have been unleashed. Finding a systemic solution to rising mega disbalances in all economies, developed and developing, small and big, is an imperative of our time. Confronting reality with theoretical assumptions in ever changing environment is the first lesson calling for a radical change or a paradigm change in economics, both macro and micro. The planet, which is today at least 1.1 degrees Celsius warmer than it was in the late 1800s when the market economy had started leveraging effects of industrialization, is already facing the climate emergency. Climate scientists worry that before 2050 average temperature might surpass 1.5 degrees Celsius above pre-industrial levels. Things have gone from bad to worse with the recent intensifications of geopolitical disputes. A cumulative impact of serial wars, the world war maybe, could contribute to an increase of3 degrees Celsius even before 2050. Uncontrolled global warming is increasing the probability of the most apocalyptic consequences, including the risk of more frequent biotic feedback loops and rapid extinction of people and other living organisms. The extinction rate of living organisms in the Anthropocene age is significantly higher than in any previous period of geological history of the planet. Among scientists, including economics scholars, in discussions about crisis mitigation, the climate emergency issue dominates. There is no overnight solution to this issue, but to gradually build up a new economy. One thing is certain. Relying on neoliberal rules is not feasible. Also, building a new system is a long joumey. Even if we implement quite diverse and more complex platform, we should be aware that it is not going to be easy to turn the ongoing trends because the climate emergency is a multidimensional problem. It penetrates many other issues. Consequently, in search of solutions, we cannot work without a framework. For such mega messes in a multi-crisis (economic, financial, climate, biotic, geopolitical, etc.), non-systemic, partial, and erratic responses are not possible. First and foremost, the purpose of the economy must be changed. The impact of well-being should overcome egoism. Simultaneously, humanity 'would find a sustainable way for economic development and lifestyle in line with the limits of nature. The so-called “green transition” is a new economy (and society) gateway. 'This-is a'multi-transition (geopolitical, biotic, climate, economic and financial) from old to new system dynamics. The results of this journey toward a sustainable economy, society and the planet should also be sustainable. Following this path, before 2050 the economy could reach a climate-neutral inflection point (“net-zero ”) as a prerequisite for its long-term sustainability as well as the sustainability of society and the planet. As for economic transition, solutions would primarily require the shift from linear to circular model of growth and from the orthodox neoliberal policy platform loosed on market fundamentalism to the heterodox economic policy platform 'with a better balance between core economic policies and structural (or industrial) policies, and a greater role of macroeconomic automatic stabilizers. Last but not least, the green transition has the potential to fuel new industrialization and output gap annulment. The intention in this paper is not only to voice our concern over the ongoing multi-crisis and related mega messes, but also to raise awareness of the importance of a more adequate approach in search of solutions. Among dozens of complex and interrelated questions, in this paper we attempt to focus on those answers pertaining to the performance measurement system and disclosure contributing to sustainable development. Sustainable development is an essential element of long termism supported by the United Nations ’Sustainable Development Goals (SDGs) defined in the Paris Agreement. To deliver the sustainable development goals (SDGs), an economy has to be evolving, climate-neutral and transformative. A sustainable economy requires impact investment in infrastructure (both physical and digital), vertical industrial policies in science, education, health care and culture, and horizontal industrial policies in tradable sectors. Also, it needs a new measurement system which, besides standard financial metrics, includes metrics related to environment, society and governance (ESG). In an emerging context, the materiality concept, as a fundamental accounting concept, is changing toward “dynamic materiality”. Additionally, we see changes in all components of accounting. For instance, the introduction of IFRS sustainability standards S1/S2 directly impacts financial accounting and audit, and indirectly advisory audit and management accounting. Following the previous logic of reasoning, the material is organized in five parts, except Introduction and Conclusion. The first part is dedicated to the multi-crisis as a context requiring a radical change. The following two parts are trying to draw a distinction between a conventional way of crisis mitigation and the new one based on a multi-transition approach. The fourth part, and most important one, is focused on sustainability reporting ’based on IFRS standards S1/S2. The fifth part provides an illustrative example of big data management based on sustainability disclosure in the banking industry.

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ИЗВЈЕШТАВАЊЕ О ОДРЖИВОСТИ - НОВИ ИЗАЗОВ ПРЕД ИНТЕРНОМ РЕВИЗИЈОМ
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ИЗВЈЕШТАВАЊЕ О ОДРЖИВОСТИ - НОВИ ИЗАЗОВ ПРЕД ИНТЕРНОМ РЕВИЗИЈОМ

Author(s): Dragan Kulina / Language(s): Serbian Publication Year: 0

Sustainable development or sustainability is based on -understanding the connection between the three basic elements that make it up: environmental protection, socially responsible behavior and conscientious corporate governance (ESG). Achieving a balance between these elements practically ensures the long-term development of human society in a preserved environment. The favoring of sustainable development is the result of the maturing awareness of the risks associated with it (ESG risks) and has influenced companies to start disclosing their position in relation to these risks. Publishing information about sustainability is the best way for companies to show and prove that they are committed to the concept of ESG and this -will only be possible if the information published through the report is accurate. Internal controls, which should ensure the accuracy of information, and internal auditing, which should provide assurance of their reliability, play a key role in this. Therefore, the aim of this study is to investigate the influence of the growing practice of sustainability reporting on the role of the internal audit function in organizations, i.e. searching for an answer to the question whether this influence only means an increase in the scope of work for internal audit, or whether it is about the transformation of its role as a generator of added value into the role of a guardian of sustainable development. For this purpose, all available, mostly secondary, sources will be used in the research, i.e. a review of the relevant literature will be carried out.

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ЗНАЧАЈ И ИЗАЗОВИ РАЗВОЈА ЗЕЛЕНИХ ФИНАНСИЈА
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ЗНАЧАЈ И ИЗАЗОВИ РАЗВОЈА ЗЕЛЕНИХ ФИНАНСИЈА

Author(s): Milan Čupić / Language(s): Serbian Publication Year: 0

To successfully stop the global increase in the temperature of the earth’s surface below 1.5oC above the level before the industrial revolution, a global transition is necessary, that is, comprehensive changes in all economic activities and entities. To finance this transition, rapid decarbonization and reallocation of capital at the global level and harmonization of the financial sector with the goals of the Paris Agreement are necessary so that every financial decision is made with respect to climate change. Serious joint efforts are being undertaken by many financial institutions, such as those involved in the Glasgow Financial Alliance for Net Zero (GFANZ) which have committed to using science-based guidelines to reach net zero by 2050. The aim of this paper is to point out the importance and challenges of the development of green finance, especially in relation to the regulatory framework and green financial instruments. As a rapidly developing field, green finance is characterized by a wide range of different regulations, principles, standards, frameworks, guidelines and other requirements that should contribute to aligning with sustainability goals, defining green finance practices and avoiding unclear or insufficiently substantiated green claims. Greenfinancial instruments should contribute to the protection of the environment, and they can appear in the form of funds from international financial institutions, multilateral development banks, commercial banks and other financial institutions, as well as funds collected through the issuance of green financial instruments.

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Firm capabilities, export diversification, and crisis affectedness: A study of Polish exporters during the COVID-19 pandemic in 2020–2021

Firm capabilities, export diversification, and crisis affectedness: A study of Polish exporters during the COVID-19 pandemic in 2020–2021

Author(s): Marian Gorynia,Piotr Trąpczyński / Language(s): English Publication Year: 0

Purpose: This chapter investigates the factors influencing a company’s vulnerability to economic crises, particularly focusing on the role of firm capabilities and export diversification. In light of the unprecedented COVID-19 pandemic, the study explores how these variables interact to shape a company’s resilience in the face of crisis. Design/methodology/approach: This study utilises primary data collected from Polish exporters in 2022, allowing for a retrospective analysis of the COVID-19 pandemic’s impact. Drawing on the resource-based view and firm internationalisation theories, the research formulates hypotheses concerning the relationships between firm capabilities (marketing and technological) and crisis affectedness, moderated by export diversification. Findings: Both marketing and technological capabilities have a negative impact on a company’s vulnerability to economic crises. However, this effect is more pronounced for companies with lower export diversification. In contrast, highly diversified exporters show reduced sensitivity to firm capabilities in mitigating crisis affectedness. Research limitations/implications: This study focuses on Polish exporters in a post-transition economy, which may differ from firms in other economic contexts. Additionally, the research explores a specific crisis, the COVID-19 pandemic, and its effects on export-oriented companies. Further research is needed to generalize these findings to other crises andregions. Practical implications: The findings suggest that companies should invest in marketing and technological capabilities to enhance resilience during crises, especially if they have a limited international diversification strategy. Highly diversified exporters may need to balance their focus on capabilities with broader market approaches. Originality and value: This research contributes to the understanding of how firm capabilities and export diversification interact to influence a company’s vulnerability to economic crises, with practical implications for exporters navigating turbulent times in a globalized world. The study sheds light on the complexities of resilience-building strategies in post-transition economies and underlines the importance of adaptability in international business.

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Factors influencing consumer trust in sharing economy platforms—a comparative study of Polish and Moroccan consumers

Factors influencing consumer trust in sharing economy platforms—a comparative study of Polish and Moroccan consumers

Author(s): Wiktoria Rakowska,Zakaria Talouni / Language(s): English Publication Year: 0

Purpose: The study aims to define the significance of trust and identify consumers’ trust-building factors in sharing economy platforms in two different cultures. Design/methodology/approach: The study used a narrative literature review and exploratory primary qualitative research—focus groups, providing an in-depth insight into the perception of trust in the sharing economy in Poland and Morocco. Findings: Eight factors are crucial in the trust-building process toward sharing economy platforms. For Polish consumers, functional elements such as customer service or service provider reputation standards are critical in building trust, unlike Moroccans, who value the platform’s reputation the most. Research limitations: The study’s focus group size and the possibility of being influenced by other participants’ responses may limit the generalizability of the results. Practical implications: The research stresses the importance of the cultural context in the trust-building process. It may help the sharing economy platforms to customise their offers for consumers coming from different cultural backgrounds, gain their trust and make them feel secure. Originality and value: The study provides new insights into consumers’ perception of trust determinants in two different cultural contexts and contributes to the ongoing discussion on the importance of trust in the sharing economy.

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