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dc.contributor.authorWawryszuk-Misztal, Annapl_PL
dc.date.accessioned2015-12-02T15:55:54Z
dc.date.available2015-12-02T15:55:54Z
dc.date.issued2014pl_PL
dc.identifier.issn0208-6018pl_PL
dc.identifier.urihttp://hdl.handle.net/11089/14821
dc.description.abstractThe aim of the study was to investigate the behavior of inventory investment in differentproductive sectors. The hypothesis of this article is expressed by the statement that the level ofinventory in relation to other financial variables is stable, which can be the result of inventorycontrol that is exercised by companies.The research was conducted on the basis of quarterly financial statements of 88 companieslisted on the Warsaw Stock Exchange in the period IQ 2007–IQ 2013. The statistical methods ofdata analysis (e.g. correlation analysis, mean, the coefficient of variation) were used to verify thehypothesis.This paper finds positive correlations between inventory and sales dynamics for most ofanalyzed sectors. Moreover, the analysis of indicators describing the relationship betweeninventory and other financial variables indicate their low volatility during the research period.However, there are differences in the level of these indicators, which might be caused byspecificity of each sector. The findings of this paper lead to the conclusion that research oninventories should be conducted in order to find the factors affecting decisions on inventoryinvestment.en_US
dc.language.isoplen_US
dc.publisherWydawnictwo Uniwersytetu Łódzkiegoen_US
dc.relation.ispartofseriesActa Universitatis Lodziensis, Folia Oeconomica; 300pl_PL
dc.titleZMIANY ZAPASÓW W SPÓŁKACH NOTOWANYCH NA GIEŁDZIE PAPIERÓW WARTOŚCIOWYCH W WARSZAWIEen_US
dc.typeArticleen_US
dc.contributor.authorEmailanna.w-misztal@wp.plpl_PL


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