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Copernican Journal of Finance & Accounting

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Found 110 items.
  • MARKET TIMING ABILITIES OF LARGE-CAP EQUITY MUTUAL FUND MANAGERS: EVIDENCE FROM INDIA
    V. Veeravel, S. Mohanasundaram
    87-99
    2021-06-11
  • SOCIALLY RESPONSIBLE INVESTMENT IN ASIA
    Justyna Kłobukowska
    55-65
    2017-06-29
  • The development of Polish venture capital and private equity market
    Izabela Lulek
    119-137
    2013-09-19
  • STOCK MARKET INDICES AS A MEASURMENT TOOL FOR PROFITABILITY OF CORPORATE SOCIAL RESPONSIBILITY ACTIVITIES
    Anna Laskowska
    71-86
    2019-05-25
  • The impact of IFRS on the value relevance of accounting data of banks listed on the Warsaw Stock Exchange
    Piotr Bolibok
    33-43
    2014-04-07
  • EXAMINING THE IMPACT OF STRUCTURAL BREAKS ON PRICE DISCOVERY EFFICIENCY: EVIDENCE FROM THE INDIAN EQUITY FUTURES MARKET
    Adish Kumar, Kapil Gupta
    79-96
    2022-02-27
  • Herding Behaviour and Stock Market Efficiency: An Empirical Study in the Egyptian Stock Market
    Mustafa Hussein Abd-Allah, Khloud Magdy Khalaf Mohamed, Maryam Safwat Mohammed Mahmood, Nada Nour Sayed Mohamed
    2025-06-30
  • IPO Initial Underpricing Anomaly: the Election Gimmick Hypothesis
    Adam Zaremba, Radosław Żmudziński
    167-181
    2014-11-21
  • Intellectual Capital and Market Performance of Nigerian Companies
    Ramat Titilayo Salman, Segun Abogun
    59-78
    2024-01-21
  • FINANCIAL INCLUSION IMPLICATIONS ON THE LIQUIDITY OF THE NIGERIAN CAPITAL MARKET
    Gbenga Festus Babarinde, Bashir Ahmad Daneji, Mamoud Abdul Jalloh, Tajudeen Idera Abdulmajeed
    9-26
    2023-07-19
  • Financial Market Development and Export Earnings in Nigeria
    Ahmed Alhaji Aliyu, Oyebola Fatima Etudaiye-Muhtar
    9-28
    2025-03-07
  • HEAVY-TAILED DISTRIBUTIONS AND THE CANADIAN STOCK MARKET RETURNS
    David Eden, Paul Huffman, John Holman
    9-21
    2017-12-08
  • Forecasting the Jordanian stock index: modelling asymmetric volatility and distribution effects within a GARCH framework
    Heitham Al-Hajieh, Hashem AlNemer, Timothy Rodgers, Jacek Niklewski
    9-25
    2015-12-17
  • Effectiveness of Open, High and Low Prices in Stock Market Price Prediction
    Collins C. Ngwakwe
    77-93
    2025-03-07
  • Regulation of financial condition insurers in the Russian Federation and assessment the insurers by insured
    Nadezda Kirillova
    79-89
    2014-11-21
  • Derivatives as security against market risk on the example of the selected companies
    Jarosław Pawłowski
    153-165
    2013-12-01
  • INVESTORS’ OVERCONFIDENCE IN THE STOCK MARKET
    Rajasekharan Ganesh, S. Thiyagarajan, Gopala Vasudevan, G. Naresh
    107-123
    2023-07-19
  • CRYPTO CURRENCY – A NEW CHALLENGE FOR THE ECONOMY OF GEORGIA
    Eka Lekashvili, Lela Mamaladze
    87-97
    2019-05-25
  • A SIMPLE LINEAR TEST OF THE INTEGRATION IN CORPORATE BOND MARKETS
    Ruchira Panda, Dinabandhu Bag
    77-85
    2021-06-11
  • The Impact of the Preliminary Announcement on the Abnormal Returns of the Companies Involved in Takeover Bids in the Portuguese Stock Market between 2000 and 2014
    João Paulo Braga, Luís M. Pereira Gomes
    39-65
    2016-08-02
  • TRADIOTIONAL FISCAL DEVICES IN POLNAD AND THE CONCEPT OF THEIR MODERNIZATION
    Marta Jakubowska
    125-138
    2019-06-27
  • CSR IN AMERICAN BANKING SECTOR
    Tomasz Murawski
    35-50
    2018-06-25
  • EU ENERGY UNION: ADJUSTMENT TO THE NEW DEVELOPMENT CYCLE
    Jurijs Spiridonovs, Olga Bogdanova
    89-101
    2017-06-29
  • CAN MANDATORY DIVIDEND POLICY REDUCE THE AGENCY COST OF LISTED COMPANIES? MODEL ANALYSIS AND EMPIRICAL TEST IN CHINA
    Qin Hailin, Zhang Jingxu
    59-101
    2019-06-27
  • “Board independence” and compensation structure of directors
    Elena Merino, Montserrat Manzaneque, Alba Maria Priego
    125-152
    2013-12-01
26 - 50 of 110 items << < 1 2 3 4 5 > >> 
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