The structure of Polish foreign debt and the risk of destabilizing the financial system
DOI:
https://doi.org/10.29015/cerem.99Keywords:
risk, foreign capital, financing, management, emerging marketsAbstract
After 2008 the emerging market economy have become more clearly stratified. Analyzing them in one basket seems to be less and less justified. Unstable external environment, the movement of huge masses of capital to stimulate the processes of globalization generate completely new risks. Their accurate and rapid identification in the case of the Polish economy is the key to maintain its leadership position.References
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