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Copernican Journal of Finance & Accounting
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Found 51 items.
Stock Exchanges Sustainability Support Assessment
Marcin Kalinowski
37-48
2014-11-21
INVESTOR’S STOCK SELECTION DECISION: INFLUENCE OF PROFITABILITY, COMPANY SIZE, AND RAROC
Tigor Sitorus, Kendo Yuganda
67-86
2019-09-29
Investments in stock of banks implementing high social responsibility standards listed on the Warsaw Stock Exchange
Michał Buszko
45-60
2014-04-07
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
STOCK MARKET INDICES AS A MEASURMENT TOOL FOR PROFITABILITY OF CORPORATE SOCIAL RESPONSIBILITY ACTIVITIES
Anna Laskowska
71-86
2019-05-25
FINANCIAL INNOVATION, RISK MANAGEMENT, AND BANK PERFORMANCE
Ghazi Zouari, Imen Abdelmalek
77-100
2020-07-31
SENTIMENTAL HERDING: THE ROLE OF COVID-19 CRISIS IN THE EGYPTIAN STOCK MARKET
Mostafa Hussein Abd-Alla
9-23
2021-02-27
THE INFLUENCE OF ASSET AND PROFITABILITY TOWARD SHARE VALUE: MEDIATION EFFECT OF LIQUID ASSET
Tigor Sitorus, * Denny
85-103
2018-06-24
RELATIVITY OF INDIAN STOCK MARKET WITH EXCHANGE RATE, GOLD AND CRUDE OIL
A.N. Vijayakumar
101-118
2021-06-11
EVALUATING VOLTALITY PERSISTENCE OF STOCK RETURTN IN THE PRE AND POST 2008-2009 FINANCIAL MELTDOWN
Kamaldeen Ibraheem Nageri
75-94
2019-12-03
EXAMINING THE LONG MEMORY IN STOCK RETURNS AND LIQUIDITY IN INDIA
Anju Bala, Kapil Gupta
25-43
2021-02-27
TIME-SERIES AND CROSS-SECTIONAL MOMENTUM IN INDIAN STOCK MARKET
Simarjeet Singh, Nidhi Walia
161-176
2021-02-27
The impact of long-lived non-financial assets depreciation/amortization method on financial statements
Ieva Kozlovska
91-108
2015-12-17
IPO Initial Underpricing Anomaly: the Election Gimmick Hypothesis
Adam Zaremba, Radosław Żmudziński
167-181
2014-11-21
BOARD CHARACTERISTICS AND THE LIKELIHOOD OF FINANCIAL STATEMENT FRAUD
Muhammed Lawal Subair, Ramat Titlayo Salman, Ayodeji Fatai Abolarin, Abdulrasheed Taiwo Abdullahi, Akeem Sisofa Othman
57-76
2020-07-31
DIVIDEND PRACTICES IN LISTED BANKS OF BANGLADESH
Mohammad Shahidul Islam
43-61
2018-12-19
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
A REVIEW OF STOCK MARKET IMPACT OF ENVIRONMENTAL CATACLYSMS AND LESSONS FOR INVESTORS
Collins C Ngwakwe
103-118
2023-12-17
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
HEAVY-TAILED DISTRIBUTIONS AND THE CANADIAN STOCK MARKET RETURNS
David Eden, Paul Huffman, John Holman
9-21
2017-12-08
AN ANALYSIS OF BROKERAGE RECOMMENDATIONS FOR THE BIGGEST COMPANIES OF WIG20
Zbigniew Drewniak
9-31
2017-06-29
KOREAN MUSIC AWARDS AND ABNORMAL STOCK RETURNS
Hafida Nur Chofifah, Ani Wilujeng Suryani
27-43
2023-07-19
BUSINESS MODEL AND ITS DILEMMAS OF CHOICE
Jan Komorowski
109-123
2017-03-09
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
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
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