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Copernican Journal of Finance & Accounting
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Found 61 items.
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
Stock Prices Volatility as an Input to the Economic Assessment of the Nuclear Power Plant in the Real Option Method
Zbigniew Krysiak
45-58
2025-09-30
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
ESTIMATING HEDGING EFFECTIVENESS USING VARIANCE REDUCTION AND RISK-RETURN APPROACHES: EVIDENCE FROM NATIONAL STOCK EXCHANGE OF INDIA
Mandeep Kaur, Kapil Gupta
149-169
2020-06-04
BOARD DILIGENCE AND FINANCIAL PERFORMANCE: EVIDENCE FROM NIGERIAN DEPOSIT MONEY BANKS
Wasiu Abiodun Sanyaolu, Babatunde Titus Adejumo, Idris Kadiri
145-160
2021-02-27
STOCK PRICES: EFFECT OF BEHAVIORAL BIASES ON INVESTOR’S MINDSET IN GUJARAT STATE, INDIA
Krunal Soni, Maulik Desai
67-79
2021-12-11
Cross-sectional Predictability of Indian Stock Returns: A Factor Analytical Approach
Sanjay Shanbhag, Kamran Quddus
59-76
2025-09-30
RISK-RETURN RELATIONSHIP IN THE NIGERIAN STOCK MARKET DURING PANDEMIC COVID-19: SECTORAL PANEL GARCH APPROACH
Kamaldeen Ibraheem Nageri
97-116
2022-02-27
The January seasonality and the performance of country-level value and momentum strategies
Adam Zaremba
195-209
2015-12-17
INVESTORS’ OVERCONFIDENCE IN THE STOCK MARKET
Rajasekharan Ganesh, S. Thiyagarajan, Gopala Vasudevan, G. Naresh
107-123
2023-07-19
CORPORATE GOVERNANCE AND POST-MERGER PERFORMANCE: EVIDENCE FROM US BANKS
Amira Neffati, Wided Khiari, Azhaar Lajmi
99-113
2021-02-27
The Role of Female Leadership in Times of Financial Crisis – an Analysis During the COVID-19 Pandemic
Tanja Sinha
79-98
2024-01-21
IMPLEMENTATION OF ALTERNATIVE INDEX WEIGHTING TO WARSAW STOCK EXCHANGE
Kamil Nowak
163-179
2017-03-09
Greening financial market
Leszek Dziawgo
9-24
2014-10-21
Changes in Ias 1 and the practices of selected companies listed on the Warsaw Stock Exchange
Edyta Winnicka
169-189
2013-09-19
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
The Impact of the Covid-19 Pandemic on Polish IT Enterprises - Financial Sector Analysis
Katarzyna Goldmann, Aleksander Zawadzki
27-47
2024-03-29
An empirical evaluation of selected accounting-based value drivers in the Polish banking sector
Piotr Bolibok
25-37
2016-08-02
RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
Christiane Goodfellow, Christian Salm
85-108
2017-03-09
The Analysis of Financial Reporting Quality and Firm Value
Karina Harjanto
27-41
2024-02-14
IMPACT OF COVID-19 ON PERFORMANCE ON INDIAN STOCK INDICES: A STUDY FOR NSE COMPOSITE AND SECTORAL INDICES
Nisarg A. Joshi
125-146
2023-07-19
DETERMINANTS OF DIVIDEND PAYOUT DECISIONS OF ORGINAL EQUIPMENT MANUFACTURERS FROM INDIAN AUTOMOBILE INDUSTRY
Navleen Kaur
9-26
2021-12-12
Pandemic Crisis and Increasing Systemic Risk Among Tunisian Listed Banks Using CoVAR Measure: The Case of the COVID-19 Crisis
Wided Khiari, Ines Ben Flah, Mohamed Amine Bouhali
2026-02-18
The development of Polish venture capital and private equity market
Izabela Lulek
119-137
2013-09-19
CREATIVE ACCOUNTING AND SHAREHOLDERS WEALTH MAXIMIZATION IN LISTED CONSUMER GOODS COMPANIES IN NIGERIA
Oluwamayowa Olalekan Iredele, Gbadegesin Babatunde Adeyeye, Ebenezer Babatunde Owoyomi
49-66
2022-06-20
26 - 50 of 61 items
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