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Copernican Journal of Finance & Accounting

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Found 56 items.
  • HEAVY-TAILED DISTRIBUTIONS AND THE CANADIAN STOCK MARKET RETURNS
    David Eden, Paul Huffman, John Holman
    9-21
    2017-12-08
  • 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
  • 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
  • RISK-RETURN RELATIONSHIP IN THE NIGERIAN STOCK MARKET DURING PANDEMIC COVID-19: SECTORAL PANEL GARCH APPROACH
    Kamaldeen Ibraheem Nageri
    97-116
    2022-02-27
  • RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
    Christiane Goodfellow, Christian Salm
    85-108
    2017-03-09
  • 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
  • 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
  • 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
  • The Analysis of Financial Reporting Quality and Firm Value
    Karina Harjanto
    27-41
    2024-02-14
  • Impact Investing from an European Perspective – Do Good and Earn Money?
    Eva Reuthlinger, Tanja Sinha
    2025-06-30
  • The Impact of Corporate Governance (CG) on Firm Performance: Evidence from Emerging Countries Banking Industry
    Atul Bansal, Durga Prasad Samontaray, Rahul Kumar
    27-46
    2024-01-21
  • THE INFLUENCE OF FIRM SIZE, LEVERAGE, PROFITABILITY, AND DIVIDEND POLICY ON FIRM VALUE OF COMPANIES IN INDONESIA STOCK EXCHANGE
    Ferdy Prasetya Margono, Rilla Gantino
    45-61
    2021-12-12
  • Financial Market Development and Export Earnings in Nigeria
    Ahmed Alhaji Aliyu, Oyebola Fatima Etudaiye-Muhtar
    9-28
    2025-03-07
26 - 50 of 56 items << < 1 2 3 > >> 
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