33 results on '"Gajdka, Jerzy"'
Search Results
2. Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland
3. Monetary policy and investors' behaviour
4. Has the risk of socially responsible investments (SRI) companies stocks changed in the COVID-19 period? International evidence
5. How much do the central bank announcements matter on financial market? Application of the rule-based trading system approach
6. How risky are the socially responsible investment (SRI) stocks? Evidence from the Central and Eastern European (CEE) companies
7. Bitcoin as a New Currency
8. Neoclassical and Behavioral Finance : A Synergy of Approaches in Current Debates and in Contemporary Financial Research
9. Investor response to public news, sentiment and institutional trading in emerging markets: A review
10. The Role of Stock Size and Trading Intensity in the Magnitude of the "Interval Effect" in Beta Estimation: Empirical Evidence from the Polish Capital Market
11. Capital Structure of Companies Listed at the Warsaw Stock Exchange and the COVID-19 Pandemic Effect on Their Risk
12. Central bank's communication and markets' reactions: Polish evidence
13. Dividend-Driven Trading Strategies: Evidence from the Warsaw Stock Exchange
14. Output and Expected Returns in Central and Eastern European Countries
15. Changes in the Capital Structure of Polish Companies During the Last Twenty Years (1997–2017)
16. CHANGES IN CASH LEVELS OF PUBLIC COMPANIES IN POLAND IN THE PERIOD 2001-2019.
17. Performance of Textile and Apparel Companies Listed on the Warsaw Stock Exchange
18. Investment Performance of Component Stocks from the Respect Sustainability Index at the Warsaw Stock Exchange
19. Stock price volatility and fundamental value: evidence from Central and Eastern European countries
20. Central Bank communication and the impact of public announcements of new monetary policy data on the reaction of foreign exchange and stock markets: evidence from Poland
21. Economic Growth, Corporate Earnings And Equity Returns: Evidence From Central And Eastern European Countries
22. Stock Price Volatility and Fundamental Value
23. FOREIGN EXCHANGE MARKET RESPONSES TO INTEREST RATE ANNOUNCEMENTS EVOLVE OVER TIME? EVIDENCE FROM POLAND.
24. INTRODUCTION
25. Dividend Policy and Stock Returns in the Polish Capital Market
26. Does Central Bank Communication Matter in Emerging European Markets? Evidence from Poland
27. ECONOMIC GROWTH AND STOCK PRICES: EVIDENCE FROM CENTRAL AND EASTERN EUROPEAN COUNTRIES.
28. Czy kształtowanie zysków w przedsiębiorstwach ma związek z kryzysem w Europie?
29. Koniunktura giełdowa a zmiany w realnej sferze gospodarki w Polsce
30. Dividend Yield Strategy in the British Stock Market 1994-2007
31. Szacowanie wartości aktywów i pasywów spółki a modele wyceny opcji (II)
32. Wyznaczanie pojemności zadłużeniowej spółki - metoda prktyczna
33. Capital Structure of Companies Listed at the Warsaw Stock Exchange and the COVID-19 Pandemic Effect on Their Risk
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