معرفی
Marek Pauka is a Professor at the Department of Finance, Wrocław University of Economics. His research focuses on financial management, capital markets, dividend policy, and the role of asymmetric information in financial markets. He maintains an active presence in academic and professional circles through consultations and engagement with socio-economic institutions.
Key research interests include bond market development, corporate finance practices, equity crowdfunding, and the impact of disclosure policies on market behavior. He has contributed to studies on IPO success in high-tech sectors, underpricing phenomena in European alternative markets, and covenant structures in corporate bonds.
His work frequently examines Polish financial markets, including analyses of the NewConnect and Catalyst markets. He is accessible for consultations via email or Microsoft Teams during scheduled hours.



