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Copernican Journal of Finance & Accounting
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26 elementos encontrados.
INTEGRATION OF FINANCIAL RISKS WITH NON FINANCIAL RISKS: AN EXPLORATORY STUDY FROM PAKISTANI CONTEXT
Syed Alamdar Ali Shah
49-65
2019-09-29
RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
Christiane Goodfellow, Christian Salm
85-108
2017-03-09
FINANCIAL INNOVATION, RISK MANAGEMENT, AND BANK PERFORMANCE
Ghazi Zouari, Imen Abdelmalek
77-100
2020-07-31
Evolution of ecological financial market from the perspective of institutional economics
Michał Moszyński, Marcelina Więckowska
1212-133
2014-04-08
DETERMINANTS OF THE PROFITABILITY OF COMMERCIAL BANKS IN ETHIOPIA
Muktar Abdela Shifa, Kenenisa Lemmi Debela, Endalew Gutu Tarfa
185-201
2020-06-04
CONTAGION AND DIVERGENCE ON SOVEREIGN BOND MARKETS
Piotr Jaworski, Kamil Liberadzki, Marcin Liberadzki
39-68
2018-06-24
Derivatives as security against market risk on the example of the selected companies
Jarosław Pawłowski
153-165
2013-12-01
Analysis and evaluation of capital adequacy in Latvian banking system
Natalia Konovalova, Snezhana Dalecka
107-123
2016-08-03
Risk in providing accounting services in the context of new regulations regarding liability insurance (OC) in Poland
Katarzyna Świetla
173-185
2015-08-26
Rozwój rynku venture capital/private equity w Polsce
Izabela Lulek
119-137
2013-09-19
RISK PROFILING OF SECONDARY EQUITY INVESTORS FROM THE CHENNAI CITY OF INDIA BASED ON THE BIG FIVE PERSONALITY MODEL
Renu Isidore, C. Joe Arun
45-65
2022-02-27
An empirical evaluation of selected accounting-based value drivers in the Polish banking sector
Piotr Bolibok
25-37
2016-08-02
CRYPTO CURRENCY – A NEW CHALLENGE FOR THE ECONOMY OF GEORGIA
Eka Lekashvili, Lela Mamaladze
87-97
2019-05-25
HEAVY-TAILED DISTRIBUTIONS AND THE CANADIAN STOCK MARKET RETURNS
David Eden, Paul Huffman, John Holman
9-21
2017-12-08
Quo Vadis Climate Transition Risk? A Literature Review and Recommendations
Oluwaseun J. Oguntuase, Adedayo O. Ajibare
63-87
2024-12-07
Porównanie składki netto ze składką brutto w ubezpieczeniach na życie
Wioleta Zgliczyńska
137-150
2013-03-20
INVESTMENT PLATFORMS EVOLUTIONS – ETF FUNDS
Karol Kraiński
23-31
2017-12-08
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
33-60
2026-02-18
CROSS-SELLING AND UP-SELLING IN A BANK
Julia Kwiatkowska
59-70
2019-05-25
Cross-sectional Predictability of Indian Stock Returns: A Factor Analytical Approach
Sanjay Shanbhag, Kamran Quddus
59-76
2025-09-30
The Impact of Exchange Rates on Stock Market Performance: Evidence from the Egyptian Stock Exchange
Mustafa Hussein Abd-Allah
2026-03-12
AN ANALYSIS OF BROKERAGE RECOMMENDATIONS FOR THE BIGGEST COMPANIES OF WIG20
Zbigniew Drewniak
9-31
2017-06-29
A REVIEW OF STOCK MARKET IMPACT OF ENVIRONMENTAL CATACLYSMS AND LESSONS FOR INVESTORS
Collins C Ngwakwe
103-118
2023-12-17
Regulatory Technology (Reg Tech) as an enhancement of compliance processes in financial institutions
Tomasz Dziawgo
27-43
2025-11-12
Financialization and Dynamics of Currency Futures Market during COVID-19: Evidence from India
Adish Kumar, Kapil Gupta
43-64
2024-02-14
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