
dr hab. Monika Wieczorek-Kosmala, prof. UE
1 Maja 47
Bud. E; pok. 8
40-226 Katowice
Visiting Professor and Research Fellow in University of Bari, Italy (VI.2020 – XII.2021)
Bio & CV details see at: orcid.org/0000-0002-7048-0172
Konsultacje:
CONSULTATION HOURS / SUMMER SEMESTER 2021/2022
link to GoogleMeet: https://meet.google.com/lookup/au2ayae3au?authuser=0&hs=179
23.06.2022 9.00 - 9.45 & 11.30 - 12.15
12.07.2022 10.00 - 11.30 (changed date!)
18.07.2022 10.00 - 11.30
Research Interests & Expertise / Specjalizacja naukowo-badawcza
- Green Transition
- Climate risk (climate risk perceptions, climate risk reporting and disclosures)
- Risk management & risk resilience in a company (integrated risk management, risk reporting, risk finacing strategies and innovations)
- Insurance (insurance market: property & casualty, development of insurance market in CEE countries)
Publications (selection)
- Wieczorek-Kosmala M. (2020) Female representation in management and supervisory boards and risk management practices: evidence from Poland, “Journal for East European Management Studies” (JEEMS), forthcoming
- Wieczorek-Kosmala M. (2020) Weather Risk Management in Energy Sector: The Polish Case, Energies 13(4), 945, DOI 10.3390/en13040945
- Wieczorek-Kosmala M., Błach J., Trzęsiok J. (2020) Comparative study of the relevance of equity financing in European SMEs, Journal of Business Economics and Management, forthcoming
- Wieczorek-Kosmala M. (2019) The concept of risk capital and its application in non-financial companies. A sustainable dimension, “Sustainability” 11(3): 1-20, DOI: 10.3390/su11030894
- DeMoor L., Wieczorek-Kosmala M., Błach J. (2016), SME Debt Financing Gap: The Case of Poland, “Transformations in Business & Economics”, ISSN: 1648-4460, 15 (39): 274-291, http://www.transformations.knf.vu.lt/39/article/smed
- Wieczorek-Kosmala M. (2015), Insight into the Development of Risk Management Practices in Poland, “Risk Management”, 17(1): 40-64, DOI:10.1057/rm.2015.6
- Wieczorek-Kosmala M. (2014), Risk Management Practices From Risk Maturity Models Perspective, “Journal for East European Management Studies” (JEEMS), 19(2) : 33-159, DOI: 10.1688/JEEMS-2014-02-Wieczorek-Kosmala
Additional Information / Dodatkowe
Membership in scientific and professional associations:
- ERRN European Risk Research Network – member of the network Committee
- EGRIE European Group of Risk and Insurance Economists
- EERIA Eastern European Risk and Insurance Association
- BAFA British Accounting and Finance Association
- IRM Institute of Risk Management – Affiliate member
- PRMIA Professional Risk Managers’ International Association
- GARP Global Association of Risk Professionals
- SRA Society for Risk Analysis
- European Association of University Teachers in Banking and Finance (Wolpertinger Club)