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Copernican Journal of Finance & Accounting

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Found 24 items.
  • Analysis and evaluation of capital adequacy in Latvian banking system
    Natalia Konovalova, Snezhana Dalecka
    107-123
    2016-08-03
  • RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
    Christiane Goodfellow, Christian Salm
    85-108
    2017-03-09
  • CONTAGION AND DIVERGENCE ON SOVEREIGN BOND MARKETS
    Piotr Jaworski, Kamil Liberadzki, Marcin Liberadzki
    39-68
    2018-06-24
  • FINANCIAL INNOVATION, RISK MANAGEMENT, AND BANK PERFORMANCE
    Ghazi Zouari, Imen Abdelmalek
    77-100
    2020-07-31
  • THE IMPACT OF THE 2007–2009 FINANCIAL CRISIS ON RISK MANAGEMENT IN CREDIT INSTITUTIONS
    Michał Boda
    45-56
    2017-03-09
  • INTEGRATION OF FINANCIAL RISKS WITH NON FINANCIAL RISKS: AN EXPLORATORY STUDY FROM PAKISTANI CONTEXT
    Syed Alamdar Ali Shah
    49-65
    2019-09-29
  • 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
  • Risk in providing accounting services in the context of new regulations regarding liability insurance (OC) in Poland
    Katarzyna Świetla
    173-185
    2015-08-26
  • A RISK MANAGEMENT SYSTEM IN INSURANCE UNDERTAKING
    Paweł Dzięcioł
    73-83
    2017-03-10
  • DETERMINATION OF THE BENEFITS AND RISKS OF PEER-TO-PEER (P2P) LENDING: A SOCIAL NETWORK TEORY APPROACH
    Nadia Nahar Purkayastha, Şule Erdem Tuzlukaya
    131-143
    2021-02-27
  • Imbalanced Liquidity Risk Management: Evidence from Latvian and Lithuanian Commercial Banks
    Natalia Konovalova, Julia Zarembo
    109-130
    2015-08-26
  • Derivatives as security against market risk on the example of the selected companies
    Jarosław Pawłowski
    153-165
    2013-12-01
  • Basel III Equity Requirements and a Contemporary Rating Approach
    Günter Hofbauer, Monika Klimontowicz, Aleksandra Nocoń
    91-105
    2016-08-03
  • HEAVY-TAILED DISTRIBUTIONS AND THE CANADIAN STOCK MARKET RETURNS
    David Eden, Paul Huffman, John Holman
    9-21
    2017-12-08
  • Credit risk measures – a case of renewable energy companies
    Eduardo Sá e Silva, Adalmiro Andrade Pereira
    147-156
    2015-08-26
  • Quo Vadis Climate Transition Risk? A Literature Review and Recommendations
    Oluwaseun J. Oguntuase, Adedayo O. Ajibare
    63-87
    2024-12-07
  • The development of Polish venture capital and private equity market
    Izabela Lulek
    119-137
    2013-09-19
  • Risk appraisal in the award of contract bonds
    Anna Jańska
    91-105
    2013-09-19
  • A REVIEW OF STOCK MARKET IMPACT OF ENVIRONMENTAL CATACLYSMS AND LESSONS FOR INVESTORS
    Collins C Ngwakwe
    103-118
    2023-12-17
  • BOARD GENDER DIVERSITY, FIRM PERFORMANCE AND FIRM RISK: A LITERATURE SURVEY
    Geeta Singh, Rishi Dwesar
    69-84
    2022-12-28
  • FRAUD RISK AND AUDIT QUALITY: THE CASE OF US PUBLIC FIRMS
    Hela Frikha Chaari, Amel Belanès, Azhaar Lajmi
    29-47
    2022-06-20
  • Foreign currency housing loans and exchange rates – risk evaluation
    Michał Buszko
    23-38
    2013-03-20
  • HOW CARBON PROJECTS CAN ADD TO SUSTAINABLE DEVELOPMENT GOALS OF INDIA’, AN ASSOCIATIVE STUDY OF CDM PROJECTS
    Avani Raval, Swati Saxena, Shashank Thanki
    117-137
    2022-02-27
  • 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
1 - 24 of 24 items
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