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Copernican Journal of Finance & Accounting
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Found 13 items.
FINANCIAL INNOVATION, RISK MANAGEMENT, AND BANK PERFORMANCE
Ghazi Zouari, Imen Abdelmalek
77-100
2020-07-31
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 2007–2009 FINANCIAL CRISIS ON RISK MANAGEMENT IN CREDIT INSTITUTIONS
Michał Boda
45-56
2017-03-09
DETERMINANTS OF THE PROFITABILITY OF COMMERCIAL BANKS IN ETHIOPIA
Muktar Abdela Shifa, Kenenisa Lemmi Debela, Endalew Gutu Tarfa
185-201
2020-06-04
A RISK MANAGEMENT SYSTEM IN INSURANCE UNDERTAKING
Paweł Dzięcioł
73-83
2017-03-10
Imbalanced Liquidity Risk Management: Evidence from Latvian and Lithuanian Commercial Banks
Natalia Konovalova, Julia Zarembo
109-130
2015-08-26
Credit risk measures – a case of renewable energy companies
Eduardo Sá e Silva, Adalmiro Andrade Pereira
147-156
2015-08-26
Analysis and evaluation of capital adequacy in Latvian banking system
Natalia Konovalova, Snezhana Dalecka
107-123
2016-08-03
Evolution of ecological financial market from the perspective of institutional economics
Michał Moszyński, Marcelina Więckowska
1212-133
2014-04-08
An empirical evaluation of selected accounting-based value drivers in the Polish banking sector
Piotr Bolibok
25-37
2016-08-02
The Study of Risk-Weighted Assets on the Effects of Loan Exposure Valuation towards Credit Default (an empirical study on middle and top local banks listed in Indonesia stock exchange period 2008–2012)
Tigor Sitorus
159-176
2015-12-17
Investments in stock of banks implementing high social responsibility standards listed on the Warsaw Stock Exchange
Michał Buszko
45-60
2014-04-07
Risk appraisal in the award of contract bonds
Anna Jańska
91-105
2013-09-19
1 - 13 of 13 items