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Journal

2019 | 3(59) | 69-91

Article title

Polski rynek finansowy po wejściu Polski do strefy euro

Content

Title variants

EN
Polish financial market after the possible joining the eurozone

Languages of publication

Abstracts

EN
The aim of the article is to assess the possible effects of joining the eurozone by Poland for its financial market. Special attention is paid to banking and capital markets. The author emphasises the necessity of incurring additional fees by banks, loss of some income (directly related to currency exchange) and opportunity to obtain additional income (resulting from higher loan margins). Next, the author discusses opportunities and challenges related to capital market development, including the risk of reducing turnover in certain segments (for example: derivatives market).

Journal

Year

Issue

Pages

69-91

Physical description

Dates

published
2019

Contributors

  • Szkoła Główna Handlowa w Warszawie

References

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Document Type

Publication order reference

Identifiers

Biblioteka Nauki
10541484

YADDA identifier

bwmeta1.element.ojs-doi-10_31268_StudiaBAS_2019_21
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