achievements in scientific work

SCIENTIFIC DEGREES

2013: Post-doctoral degree (Habilitation)

Poznan University of Economics, Faculty of International Economics

Specialization: International Finance

Title: International capital flows and economic growth in the countries of Central and Eastern Europe in the years 1994-2008.

Reviewers:

prof. dr hab. Janusz Bilski – University of Lodz, prof. dr hab. Tomasz Rynarzewski – Poznan University of Economics, prof. Andrzej Sławiński – SGH , prof. dr hab. Andrzej Wojtyna – Crakov University of Economics, dr hab. Adam Koronowski – University of Finance and Management in Siedlce (editorial review), prof. dr hab. Danuta Marciniak-Neider – University of Gdańsk (editorial review)

2003: Ph.D. (Doctor of economic sciences)

Poznan University of Economics, Faculty of Management

Speciality: International Finance

Title: The construction of rational short-term foreign debt portfolio  from the perspective of  the financial risk minimizing

Promotor: prof. dr hab. Eugeniusz Najlepszy

Reviewer: prof. dr hab. Janusz Bilski – University od Lodz, prof. dr hab. Waldemar Frąckowiak – Poznan University of Economics

1993: M.A. (Master of economic science)

Poznan University of Economics, Faculty of Management

Field of study: International Business

Promotor: prof. dr hab. Henryk Wojciechowski

SCIENCE PUBLICATIONS

2017

Śliwiński, P., 2017, Causes and consequences of the debt crisis in Puerto Rico, Studia Oeconomica Posnaniensa (in Polish) – coming

Huczek S., Śliwiński, P., Zygmanowski P., 2017, The ratings of local government units – basic methodology of rating agencies, Finanse Komunalne (in Polish) – coming

Tchorek, G., Brzozowski, M., Śliwiński, P., 2017, Determinants of capital flows to emerging and advanced economies between 1990 and 2011, Portuguese Economic Journal, In Press, 16 January 2017, :1-32

Śliwiński, P., Łobza, M., 2017, The Impact of Global Risk on the Performance of Socially Responsible and Conventional Stock Indices (in English) – coming

Śliwiński, P., 2017, Testing the hypothesis of unsecured interest rate parity on the example of USD/PLN and EUR/PLN in 2006-2010, Folia Oeconomica (in Polish) – coming

Śliwiński, P., Łobza, M., 2017, Financial Performance of Socially Responsible Indices, International Journal of Management and Economics, no. 53/2017 (in English) – coming

Śliwiński, P., 2017, International Finance. University Course Materials, wyd. 1, Wydawnictwo Uniwersytetu Ekonomicznego w Poznaniu (UEP), Poznań (in Polish) – coming

2016

Śliwiński, P., 2016, International Corporate Finance. University Course Materials, University of Economics in Poznan, Poznan (in Polish)

Śliwiński, P., 2016, Booming Romania in a hurdle race, New Eastern Europe, 1/2016, s. 96-104 (in English)

Śliwiński, P., 2016, Corporate Finance. University Course Materials, University of Economics in Poznan, Poznan (in Polish)

2015

Śliwiński, P., Brzozowski, M., Tchorek, G., 2015, The integration of macroeconomic and portfolio approach in the analysis of the determinants of international capital flows, Scientific Papers of the University of Economics in Wroclaw, 406, pp. 127-139 (in Polish)

2014

Brzozowski, M., Śliwiński, P., Tchorek, G., 2014, The impact of exchange rate volatility on the structure of capital inflows. Implications for Poland, National Bank of Poland Working Papers, 309, pp. 1-185 (in Polish)

2013

Śliwiński, P., 2013, The impact of the financial crisis on the development of global imbalances in M. Bartosik-Purgat, J, Schroeder (ed.), Development trends in the world economy, University of Economics in Poznan, Poznan, pp. 43-54 (in Polish)

Śliwiński, P., 2013, The structure of the financial account in the balance of payments in the period of financial turmoils in Poland in the period 2000-2012, Scientific Papers of the University of Economics in Wroclaw, 315, pp. 319-328 (in Polish)

Śliwiński, P., 2013, Foreign sources of  domestic investment financing in Poland in the years 1994-2010, Annales Universitatis Mariae Curie-Skłodowska. Sectio H. Oeconomia, 47(3), pp. 539-549 (in Polish)

Śliwiński, P., 2013, The use of portfolio theory for managing financial risk associated with foreign debt, Scientific Papers of University of Szczecin. Finance, Financial Markets, Insurance, 761, pp. 525-535 (in Polish)

2012

Śliwiński, P., 2012, Determinants of current account deficits in Central and Eastern European countries in the period 1994-2008, studies Oeconomica Posnaniensia – previous title : Scientific Papers of the University of Economics in Poznan, 219, pp. 110-127 (in Polish)

Śliwiński, P., Markiewicz, M., Zygmanowski, P., 2012, NewConnect-the fastest growing alternative market in Europe, pp. 26-37 (in English)

2011

Śliwiński, P., International capital flows and economic growth in the countries of Central and Eastern Europe in the years 1994-2008, University of Economics in Poznan, Poznań (in Polish)

Śliwiński, P., 2011, Companies on NewConnect and their financial perspectives, Akcjonariusz, 2, pp. 30-32 (in Polish)

Śliwiński, P., 2011, The concept of the basic and overall balance and external balances in the Central and Eastern European countries in the years 1994-2008, Studies Oeconomica Posnaniensia – previous title : Scientific Papers of the University of Economics in Poznan, 179, pp. 289-301 (in English)

2010

Śliwiński, P., 2010, The inflow of foreign capital and the real appreciation of the exchange rate of the CEE-10 countries in 1994-2008, Scientific Papers of the University of Economics in Wroclaw, 150, pp. 362-371 (in Polish)

Śliwiński, P., 2010, A small company in the stock market. Formerly a myth, today … reality, Quarterly Polish Economic  Society Review, 1, p. 26-28 (in Polish)

Śliwiński, P., 2010, The impact of changes in the perception of investment risk by foreign investors in the national income by the Mundell-Fleming model, Acta Universitatis Lodziensis. Folia Oeconomica, 238, pp. 241-252 (in Polish)

2009

Paweł Śliwiński, Michał Stępniewski (ed.), 2009, Municipal bonds. Legal, financial and practical issues, Twigger SA, Warsaw (in Polish)

  • Śliwiński, P., 2009, Methods for measuring the cost of raising money by issuing municipal bonds: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 145-162.
  • Śliwiński, P., 2009, Factors affecting to the cost of municipal bond issues: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 163-188.
  • Śliwiński, P., 2009, The risks associated with the issuance of municipal bonds: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 189-207.
  • Śliwiński, P., 2009, Comparison of loan and bond issue: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 208-216.
  • Śliwiński, P., 2009, Municipal bond market in Poland: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 219-239.
  • Śliwiński, P., 2009, Motives of municipal bond issues in Poland: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 240-271.
  • Śliwiński, P., 2009, Basic restrictions in issuing municipal bonds: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 272-284.
  • Śliwiński, P., 2009, Issuance of municipal bonds and the new Public Procurement Law: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 285-293.
  • Śliwiński, P., 2009, The use of municipal bonds in the implementation of investments from EU funds: Paweł Śliwiński, Michał Stępniewski (ed.), Municipal bonds. Legal, financial, practical issues, Twigger SA, Warsaw, pp. 294-317.

Śliwiński, P., 2009, Foreign Savings, Domestic Investment and Economic Growth in CEE-10 Countries: Full Papers ICABR 2009, V. International Conference on Applied Business Research, Mendel University in Brno, Brno, pp. 1281-1294 (in English)

Śliwiński, P., 2009, External Imbalances in CEE-10 Countries and Feldstein-Horioka Puzzle in 1994-2008: S. Poloucek, D. Stavarek (ed.), Structural and Regional Impacts of Financial Crises. Proceedings of 12th International Conference on Finance and Banking, Karvina 2009, pp. 607-628 (in English)

Śliwiński, P., 2009, External balances of the CEE-8 countries under the conditions of the financial crisis according to Mundell-Fleming model, Studies Oeconomica Posnaniensia – previous title: Scientific Papers of the University of Economics in Poznan, 126, pp. 332-347 (in English)

Sobański, K., Najlepszy, E., Śliwiński, P., 2009, Dilemmas of domestic enterprises in the management of exchange risk – hedging or speculation on the currency market, Scientific Papers University of Szczecin. Economic Problems of Services, 34, pp. 567-572 (in Polish)

2008

Najlepszy, E., Śliwiński, P., 2008, The use of derivatives in the currency strategies of the company, Scientific Papers University of Szczecin. Economic Problems of Services, 492, pp. 197-205 (in Polish)

Śliwiński, P., 2008, Changes in net international investment position in the group of selected countries of Central and Eastern Europe and the Economic and Monetary Union: Eugeniusz Najlepszy (ed.), Determinants of the balance of payments in European countries, Warszawa, pp. 158-192 (in Polish)

Śliwiński, P., 2008, Determinants of the financial  balance in the group of selected countries of Central and Eastern Europe and the Economic and Monetary Union w: Eugeniusz Najlepszy (ed.), Determinants of the balance of payments in European countries, Warszawa, pp. 138-157 (in Polish)

Najlepszy, E., Śliwiński, P., 2008, Determinants of the current account balance in the group of selected countries of Central and Eastern Europe and the Economic and Monetary Union: Eugeniusz Najlepszy (ed.), Determinants of the balance of payments in European countries, Warszawa, pp. 114-137 (in Polish)

2007

Śliwiński, P., 2007, Microenterprises in the stock market – myth or reality, Scientific Papers University of Szczecin. Economic Problems of Services, 458, pp. 337-345 (in Polish)

Najlepszy, E., Śliwiński, P., 2007, Problems with the calculation of the  cost of capital in the case of a public shares offering in companies from the SME sector, Economics Organization of Enterprises, pp. 52-56 (in Polish)

2006

Najlepszy, E., Śliwiński, P., Wiśniewska, D., 2006, The Effect of Macroeconomic Variables on the Current Account Balance in High Income and Transition Economics, The Proceedings from the 5th IBEC International Conference: V. Calluzzo (ed.), The Proceedings from the 5th IBEC International Conference, San Fransisco State University, San Fransisco (in English)

Śliwiński, P., 2006, Strategy of foreign debt management in an international company, Study Oeconomica Posnaniensia – previous title: Scientific Papers of the University of Economics in Poznan, 66, pp. 87-101 (in Polish)

2005

Śliwiński, P., Ostrowski, J., Stepniewski, M., 2005,  Municipal bonds and their role in financing investments, TWIGGER, Warsaw (in Polish)

Śliwiński, P., 2005, The use of forward contracts to hedge the debtor against foreign exchange risk: J. Rymarczyk, W. Michalczak (ed.), Regional and global issues in the contemporary world economy, Volume 2, University of Economics in Wroclaw, Wroclaw, pp. 380-389 (in Polish)

Śliwiński, P., 2005, The possibility of using inner techniques to hedge against financial risk in case of foreign indebtness: Mieczysław Dudek (ed.), Macroeconomics of European economic relations. Selected problems. Collective work edited by the Mieczysław Dudek, Zielona Gora, pp. 101-114 (in Polish)

Śliwiński, P., 2005, The principles of the analysis of critical currency rates in case of financing denominated in foreign currency: V. Novacek (ed.), Proceedings of the International Conference on Finance and Accounting in Science, Tuition and Practice, Tomas Bata University in Zlin, Zlin (in English)

Śliwiński, P., 2005, Themes of foreign debt of Polish enterprises in the years 2000 – 2003, Trials and Studies / University of Szczecin, 571, pp. 579-588 (in Polish)

Wiśniewska, D., Śliwiński, P., Najlepszy, E., 2005, Determinants of the current account balance in the years 1993 – 2003: Janusz Bilski, Agnieszka Kłysik-Uryszek (ed.), Poland on the European Community market. The global economy  on the threshold of the twenty-first century, Lodz Scientific Society, Lodz, pp. 129 – 146 (in English)

Najlepszy E., Śliwiński P., Ziemba D., 2005, Determinants of National Saving and Investment Balancing the Current Account. Empirical Evidence from Poland, Global Business&Technology Association i Polytechnic Institute of Leiria: GBATA GATA Seventh Annual International Conference, Lizbona, Leira (in English)

2004

Śliwiński, P., 2004, Municipal Bonds as an Instrument Financing Regional Investments in Poland: P. Moore (ed.), 10th International Baltic Forum – New Financial Tools for the 21th Century, Fachhochschule Stralsund, Starlsunds. pp. 31-32 (in English)

Śliwiński, P., Najlepszy, E., Sobański, K., 2004, External imbalances of the Visegrad Group countries before accession to the European Union, Scientific Papers of the University of Economics in Katowice, pp. 163-180 (in Polish)

Śliwiński, P., 2004, The risks associated with the foreign debt and the ways of its measurement on the example of Poland in the years 1998 – 2001: Jan D. Antoszkiewicz, Marcin Kulikowski (ed.), Determinants of business development, Institute of Sciences, Warsaw, pp. 389-403 (in Polish)

2003

Najlepszy, E., Śliwiński, P., 2003, Short-Term Rates of Return on International Portfolio Investments from the Perspective of the Polish Money Market in the Years 1998-2001: Second International Business and Economy Conference, San Fransisco State University, San Fransisco 2003 (in English)

Śliwiński, P., 2003, Short-term rate of return on portfolio investments in the money market and the flows of portfolio capital market debt securities in Poland in 1998-2002: J. Bilski, A. Midera (ed.), Integration processes in the world economy. Poland in the European Union, Volume 1, Publishing House of the University of Lodz, Lodz, 2003, p. 373-388 (in Polish)

Śliwiński, P., Pieróg, P., 2003, Profitability and risk associated with the purchase of municipal bonds, Our Capital Market, 1, pp. 68-71 (in Polish)

Śliwiński, P., Najlepszy, E., 2003, Short-term rates of return on uncovered interest rate arbitrage and capital flows in Poland, Poznan University of Economics Review, 2, pp. 53-67 (in English)

Śliwiński P., 2003, The construction of rational short-term foreign debt portfolio from the perspective of  the financial risk minimizing, Poznan (in Polish)

2002

Śliwiński, P., 2002, Municipal bonds as a source of raising capital for local goverments unit investments, Nasz Rynek Kapitałowy (in Polish)

Śliwiński, P., 2002, Criteria for selection of external sources of financing the budget deficit of local government units, Finanse Komunalne (in Polish)

Śliwiński, P., Najlepszy, E., 2002, Short-term rate of return on portfolio investment from the perspective of money market in Poland, Scientific Papers of the University of Economics in Wroclaw, 930, pp. 25-48 (in Polish)

Śliwiński, P., Najlepszy, E., 2002, Short-term rate of return of international portfolio investment from the perspective of money market in Poland in the years 1998-2001., Bank and Credit, 5, p. 30-44 (in Polish)

2001

Śliwiński, P., Najlepszy, E., 2001, Differences in rates of return of foreign portfolio investments in the money market in Poland, Lodz 2001, p. 287-300 (in Polish)

2000

Ostrowski, J., Stepniewski, M., Śliwiński, P., 2000, Municipal bond issues in theory and in practice, TWIGGER, Warsaw (in Polish)

Śliwiński, P., 2000, Financing business with foreign debt, studies Oeconomica Posnaniensia – previous title: Scientific Papers of the University of Economics in Poznan, 278, pp. 166-183 (in Polish)

1998

Śliwiński, P., 1998, The organization of municipal bond issue: Iwona Wcislak (ed.), Municipal bonds – issuance and secondary trading, Capital Expo, Poznan, pp. 117-128 (in Polish)

NATIONAL AND INTERNATIONAL CONFERENCES (SELECTED)

2015

POZNAN

Socially Responsible Indices and Their Financial Performances – Introduction to Further Research, the presentation of the article at a scientific conference: „Trade and Finance 2015″. V Conference “Value 2015. Creation and monetization of value in the global economy”, University of Economics in Poznan, Poznan December 10, 2015; “International Finance” Session Leader, co-organizer of the conference

2014

LODZ

Testing the hypothesis of unsecured interest rate parity based on USD/PLN and EUR/PLN in 2006-2010, the presentation of the article at a scientific conference: “X International Scientific Conference: Contemporary Problems of International Finance”, University of Lodz, Lodz November 17-18 2014

2013

SZCZECIN – KOLOBRZEG

The use of portfolio theory for managing financial risk associated with  foreign debt, the presentation of the article at a scientific conference: “XIV International Scientific Conference: Financial Management, Time for money”, University of Szczecin, Kolobrzeg 17-19 April 2013

LUBLIN – ZAMOSC

Foreign sources of  domestic investment financing in Poland in the years 1994-2010, the presentation of the article at a international scientific conference: “XIII Scientific Conference: Financial Market”, Maria Curie Sklodowska University in Lublin, Zamosc 9-11 June 2013

WROCLAW

The structure of the financial account in the balance of payments in the period of financial turmoil in Poland in the period 2000-2012, the presentation of the article at a scientific conference: “XXX Anniversary International Scientific Conference”, University of Economics in Wroclaw, Wroclaw 20-21 May 2013

2012

STRALSUND (GERMANY)

NewConnect-the fastest growing alternative market in Europe, the presentation of the article at a scientific conference: „18th International Baltic Forum: Challenges and Opportunities – Discussing the Financial Future”, Fachhochschule Stralsund, Stralsund 14-15 October 2012

POZNAN

Determinants of current account deficits in Central and Eastern European countries in the period 1994-2008, presentation of an article on departmental conference, Poznan University of Economics, Poznan October 2012

2011

POZNAN

Sources of the deficit in the current account balance in the countries of Central and Eastern Europe in the years 1994-2008, the presentation of the article at a scientific conference: “Modern World Economy. The Problems at the Macro and Micro Levels”, University of Economics in Poznan, Poznan April 7, 2011

2010

WROCLAW

The inflow of foreign capital and the real appreciation of the exchange rate in the CEE-10 countries in 1994-2008, the presentation of the article at a scientific conference: “Global and Regional Trade and Investment,” the University of Economics in Wroclaw, Wroclaw 17-18 May 2010

LODZ

The impact of changes in the perception of investment risk by foreign investors in the national income according to the Mundell-Fleming model, the presentation of the article at a scientific conference organized by the University of Lodz and the Technological Educational Institute of Epirus: “Mechanisms of Functioning of EMU. Prospects for Expansion of the Euro Zone”, Lodz, 15-16 November 2010

2009

ST JULIEN (MALTA)

Foreign Savings, Domestic Investment and Economic Growth in CEE-10 Countries, the presentation of the article at a scientific conference organized by Mendel University in Brno, Kasetsart University (Thailand) and Unversity of Malta: “V. International Conference on Applied Business Research, Valetta, St. Julien – Malta”, 21-25 September 2009

OSTRAVICE (CZECH REPUBLIC)

External Imbalances in CEE-10 Countries and Feldstein-Horioka Puzzle in 1994-2008, the presentation of the article at a scientific conference organized by the Silesian University in Opava and the School of Business Administration in Karvina: “12th International Conference on Finance and Banking – Structural and Regional Impacts of Financial Crises”, Ostravice – Czech Republic, 28-29 October 2009

SZCZECIN-BERLIN (GERMANY)

Dilemmas of domestic enterprises in the management of foreign exchange risk – hedging or speculation on the currency market, the presentation of the article at the international scientific conference organized by the University of Szczecin in cooperation with the Fachhochschule fuer Technik und Wirtschaft Berlin: “Mikrofirma 2009 – Market Conditions and the Development of Micro and Small Enterprises”, Szczecin-Berlin, 11-14 May 2009

POZNAN

External balance of the CEE-8 countries under the conditions of the financial crisis, according to Mundell-Fleming model, the presentation of the article at a scientific conference: “Trade and International Finance in the Conditions of gGobalization”, University of Economics in Poznan, Poznan 28-29 September 2009

2008

SZCZECIN

The use of derivatives strategies in the currency business, presentation of article on IV National scientific conference: “Market Conditions and the Development of Micro and Small Enterprises. Mikrofirma 2008”, University of Szczecin, Szczecin 12-15 May 2008

2007

SZCZECIN

Microenterprises on the stock market – myth or reality, the presentation of the article at the Third National Scientific Conference “Market conditions the development of micro and small enterprises, Mikrofirma 2007”, University of Szczecin, Szczecin 14-17 May 2007

SWINOUJSCIE-COPENHAGEN (DENMARK)

Problems with the calculation of the cost of raising capital in the case of a public share offering  of companies from the SME sector, the presentation of the article at the Third National Scientific Conference: “Market conditions the development of micro and small enterprises. Mikrofirma 2007”, University of Szczecin, Szczecin 14-17 May 2007

2006

HONOLULU (USA)

The Effect of Macroeconomic Variables on the Current Account Balance in High Income and Transition Economics,the presentation of the article at a scientific conference organized by San Fransisco State University: “The 5th IBEC International Conference”, Honolulu – USA, 5-8 January 2006

2005

LEIRA (PORTUGAL)

Determinants of National Saving and Investment Balancing the Current Account. Empirical Evidence from Poland, the presentation of the article at a scientific conference ogranized by Global Business&Technology Association i Polytechnic Institute of Leiria:” GBATA GATA Seventh Annual International Conference”, Lizbona, Leira – Portugalia, 12-16 July 2005

WROCLAW

The use of forward contracts to hedge the debtor against foreign exchange risk, the presentation of the article at a scientific conference: “Problems of regional and global issues in the contemporary world economy,” University of Economics. Oskar Lange in Wroclaw, Wroclaw 2005

Foreign indebtness of Polish enterprises in 2000-2003, the presentation of the article at a scientific conference: “Market conditions the development of micro and small enterprises,” the University of Szczecin, Swinoujscie-Copenhagen 17-19 May 2005

2004

STRALSUND (GERMANY)

Municipal Bonds as an Instrument Financing Regional Investments in Poland, article presentation at a scientific conference organized by Fachhochschule Stralsund: 10th International Baltic Forum – New Financial Tools for the 21th Century, Starlsund – Germany,  14-15 October 2004

KATOWICE-USTRON

External imbalances of  Visegrad countries before accession to the EU, article presentation at a scientific conference organized by the San Academy of Economics in Katowice: Finance in Enlarged Europe (Finance in the era of integration of the European Union), Katowice-Ustron, 18-19 October 2004

2003

SAN FRANCISCO (USA)

Short-Term Rates of Return on International Portfolio Investments from the Perspective of the Polish Money Market in the Years 1998-2001, the presentation of the article at a scientific conference organized by San Francisco State University: Second International Business and Economy Conference, San Fransisco – USA, 9-12 January 2003

LODZ

Short-term rate of return on portfolio investments in the money market and the flows of portfolio debt securities in Poland in the years 1998-2002, the presentation of the article at a scientific conference: “Integration processes in the world economy. Poland in the European Union”, University of Lodz, Lodz 27-28 October 2003

RESEARCH PROJECTS

NATIONAL GRANTS

2013: the National Bank of Poland research project contractor. Project title: “The impact of exchange rate volatility on the structure of foreign capital inflows. Implications for Polish ”

2008-2010: the project manager of habilitation grant awarded by the Ministry of Science and Higher Education in 2008-2010 (research project KBN N N115 1720 33). Project Title: “Analysis of the opportunities and threats to the transition economies of Central and Eastern Europe in connection with the occurrence of imbalances in the balance of payments in the years 1994-2008”

2004-2006: the project contractor in the project granted by the Ministry of Science and Higher Education (project KBN 1 H02C 017 26), project manager: prof. dr hab. Eugeniusz Najlepszy. Project Title: “The current account, the financial and capital accounts balances in the Economic and Monetary Union and Central and Eastern European countris – a model determinants of external equilibrium”

OWN RESEARCH (conducted at the University of Economics in Poznań)

2010: „Determinants of currency crises in the countries of Central and Eastern Europe”

2007: “Determinants of changes in the net international investment position in Central and Eastern European countries”

2006: “The structure and prospects of development of the capital market in the countries of the Visegrad Group”

2005: “Determinants of the portfolio investment balance in the balances of payments of the Visegrad Group”

2004: “The influence of the transition economies on the valuation of assets in the financial markets

STATUTORY RESEARCH  (conducted at the University of Economics in Poznan)

2013-2016: “Conditions for the development of alternative capital markets in Poland and in the world”

2008-2011: “Safety of the balance of payments of developing countries”

2007: “Role of financial and capital flows in  current account deficit financing in the Economic and Monetary Union and Central and Eastern European countries”

REVIEWS OF DOCTORAL THESIS

1) Śliwiński, P. (rec.), 2013: Kuziemska, K., Determinants of thePolish  current account balance in the years 2000-2011, University of Lodz

2) Śliwiński, P. (rec.), 2014: Marszk, A., Stock markets and economic growth in developing countries: the case of the BRIC countries, Gdansk University of Technology

3) Śliwiński, P. (rec.), 2014: Napiórkowski, T., Determinants of U.S. foreign direct investments in Central European countries from 1996 to 2010, SHG Warsaw

4) Śliwiński, P. (rec.), 2015: Kuziemska-Pawlak, K., Determinants of the Polish current  account balance  in the years 2000-2013, University of Lodz

Author of reviews prepared e.g. for: National Science Centre (NCN), Poznan University Review, NBP Economic Institute and IBEC (International Business and Economy Conference).

AWARDS FOR SCIENTIFIC WORK

Award for scientific achievements by the Minister of Science and Higher Education  for the book: “Determinants of the balance of payments in European countries”, red. E. Najlepszy, Wydawnictwo Naukowe PWN, Warszawa 2008 (2009) – team award with E. Najlepszy and K. Sobański

The University of Economics in Poznan Rector’s Prize for doctoral thesis: “The construction of rational short-term foreign debt portfolio from the perspective of  the financial risk minimizing” (2003)

DIDACTICS

CURRENTLY (lectures, seminars)

1. Corporate Finance

2. International Finance (in English)

3. International Corporate Finance

4. International Corporate Finance – MBA Poznań-Atlanta

5. International Finance – Selected Iissues – PhD

6. Doctoral Seminar – International capital markets. Instruments, institutions, investors

7. MA Seminar – International capital markets. Instruments, institutions, investors

IN THE PAST (lectures, seminar)

1. International investments

2. Strategies for international financing

3. Advanced International Finance (in English)

4. International Capital Markets (in English)

5. Time Value of Money

6. investment Portfolio

7. BA seminar – International capital markets. Instruments, institutions, investors

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