Research of Institute of Risk and Financial Markets

The area of research of the Institute of Risk and Financial Markets is a wide spectrum of issues related to the analysis of the functioning of financial markets, with particular emphasis on the banking system. The previous research included mainly the following issues:
•    impact of external conditions on the operating conditions and financial condition of the banking sector,
•    modern methods of banking risk management,
•    the process of adapting the Polish banking system to EU standards and proposals of the Basel Committee,
•    development of new forms of banking in Poland, including investment and electronic banking.
 

Employees of the Institute of Risk and Financial Markets carry out active scientific and research activities both as part of research for young scientists and statutory research.
 

The employees of the Institute of Risk and Financial Markets conduct intensive scientific activity devoted to various aspects of the organization and development of financial markets in Poland and in the world, with particular emphasis on the mechanisms of the banking sector.
 

The result of scientific activity is numerous books, monographs, studies, reports, and articles.
 

 

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