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Copernican Journal of Finance & Accounting

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Found 24 items.
  • THE GREEN BOND AS A PROSPECTIVE INSTRUMENT OF THE GLOBAL DEBT MARKET
    Anna Laskowska
    69-83
    2018-06-24
  • The development of Polish venture capital and private equity market
    Izabela Lulek
    119-137
    2013-09-19
  • Analysis and evaluation of capital adequacy in Latvian banking system
    Natalia Konovalova, Snezhana Dalecka
    107-123
    2016-08-03
  • The role bonds in financing climate resilient economy
    Marcelina Więckowska
    153-167
    2013-09-19
  • THE TRANSFORMATION OF THE CORPORATE GOVERNANCE MODEL: A LITERATURE REVIEW
    ATM Adnan, Nisar Ahmed
    7-47
    2019-12-03
  • 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
  • AN EMPIRICAL ANALYSIS OF CORPORATE CAPITAL STRUCTURE AND FINANCIAL PERFORMANCE OF LISTED CONGLOMERATES IN NIGERIA
    Lukman Adebayo Oke, Daud Omotosho Saheed, Yusuf Olamilekan Quadri
    95-114
    2019-12-03
  • Intellectual Capital and Market Performance of Nigerian Companies
    Ramat Titilayo Salman, Segun Abogun
    59-78
    2024-01-21
  • BUSINESS MODEL AND ITS DILEMMAS OF CHOICE
    Jan Komorowski
    109-123
    2017-03-09
  • Private equity and venture capital – theoretical considerations
    Zbigniew Drewniak
    51-63
    2013-09-19
  • Regulation of financial condition insurers in the Russian Federation and assessment the insurers by insured
    Nadezda Kirillova
    79-89
    2014-11-21
  • LIQUIDITY-PROFITABILITY TRADEOFF EXISTENCE IN TURKEY: AN EMPIRICAL INVESTIGATION UNDER STRUCTURAL EQUATION MODELING
    Furkan Baser, Soner Gokten, Guray Kucukkocaoglu, Hasan Ture
    27-44
    2017-03-09
  • 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
  • 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
  • INVESTMENT PLATFORMS EVOLUTIONS – ETF FUNDS
    Karol Kraiński
    23-31
    2017-12-08
  • Transnational Corporations in the World Economy: Formation, Development and Present Position
    Małgorzata Jaworek, Marcin Kuzel
    55-70
    2015-08-25
  • Sustainable Development in Norway on the example of Government Pension Fund Global
    Julita Fiedorczuk
    45-54
    2015-08-25
  • A Solution To Eradicate Jobless Growth: Meritocracy
    Abdullah Burhan Bahçe, Öner Gümüş
    9-25
    2015-08-25
  • USE OF CAMEL RATING FRAMEWORK: A COMPARATIVE PERFORMANCE ANALYSIS OF SELECTED COMMERCIAL BANKS IN INDIA
    Preeti Kulshrestha, Anubha Srivastava
    67-87
    2022-06-20
  • RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
    Christiane Goodfellow, Christian Salm
    85-108
    2017-03-09
  • ARE LIQUIDITY, DIVIDEND POLICY, LEVERAGE, AND PROFITABILITY THE DETERMINANTS OF FIRM VALUE: EVIDENCE FROM THE LISTED FIRMS?
    Brishti Chakraborty, Md. Yealid Hassan Maruf
    47-63
    2023-12-17
  • AN ANALYSIS OF BROKERAGE RECOMMENDATIONS FOR THE BIGGEST COMPANIES OF WIG20
    Zbigniew Drewniak
    9-31
    2017-06-29
  • REACTION OF SHARE PRICES TO DIVIDEND POLICY OF NON-FINANCIAL FIRMS IN NIGERIA: A PANEL DATA APPROACH
    Nkechi A. Emeka-Nwokeji, Efeeloo Nangih, Christian O. Chiedu, Ebele N. Ekwunife
    31-49
    2022-12-23
  • Real Options Approach to the Pre-Closing Process of a Merger and Acquisition: An Exploratory Study in the French Context
    Ines Ben Flah
    47-62
    2024-12-07
1 - 24 of 24 items
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