Peter Adamko
University of Žilina
18 Papers
26 Citations
Peter Adamko is an academic researcher from University of Žilina. The author has contributed to research in topics: Bankruptcy & Economic sector. The author has an hindex of 7, co-authored 18 publications.
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Papers
Financial Risk Measurement and Prediction Modelling for Sustainable Development of Business Entities Using Regression Analysis
TL;DR: In this article, the issue of the debt, bankruptcy or nonbankruptcy of a company is presented as one of the ways of conceiving risk management, which is done by the identification of significant predictors having an impact on the health of Slovak companies and their future prosperity.
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Changes in Consumers’ Purchase Patterns as a Consequence of the COVID-19 Pandemic
Katarina Valaskova,Pavol Durana,Peter Adamko +2 more
- 01 Jul 2021
TL;DR: In this paper, a categorical analysis (Pearson's chi-square test) and correspondence analysis (simple and multivariate) were applied to a sample of 425 Slovak respondents to reveal the most important factors impacting consumers' financial situations, as well as the effects on the maintenance of new shopping habits established during the COVID-19 pandemic period.
Predicting Financial Distress of Slovak Enterprises: Comparison of Selected Traditional and Learning Algorithms Methods
TL;DR: Comparisons of models developed by using three different methods in order to identify a model with the highest predictive accuracy of financial distress when it comes to industrial enterprises operating in the specific Slovak environment indicate that all models demonstrated high discrimination accuracy and similar performance.
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Quo Vadis, earnings management? Analysis of manipulation determinants in Central European environment
TL;DR: In this paper, the authors investigated the earnings management phenomenon in the context of Central European countries, attempting to identify the factors and incentives that can influence earnings management behavior on a sample of 8,156 enterprises from Slovakia, the Czech Republic, Hungary, and Poland.
The Credit Risk and its Measurement, Hedging and Monitoring
TL;DR: In this paper, the authors point out the measurement, hedging, and monitoring of the credit risk of a bank's portfolio and point out some external and internal factors that may influence the bank's credit risk.
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