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1. ANALYZING THE BEHAVIOR OF THE EUROPEAN DEVELOPED STOCK MARKET FROM FRANCE DURING THE PERIOD THAT COVERS THE COVID-19 PANDEMIC AND THE WAR BETWEEN RUSSIA AND UKRAINE

2. AN EMPIRICAL ANALYSIS REGARDING THE BEHAVIOR OF THE ASIAN STOCK MARKETS UNDER THE IMPACT OF TURBULENT EVENTS: A CASE STUDY FOR JAPAN

3. VOLATILITY ANALYSIS ON ROMANIAN STOCK MARKET.

5. EXAMINING THE MODERATING EFFECT OF RISK ATTENUATION ON THE RELATIONSHIP BETWEEN INVESTOR SENTIMENT AND CASH FLOW VOLATILITY.

6. Takaful Islamic insurance for life: Appraisal on the relevance of takaful models on financial markets behaviour.

7. Estimating Fluctuating Volatility Using Advanced Garch Models: Evidence from Denmark Stock Exchange.

8. Acceptance and adoption of digital financial inclusion by the rural population of India: A case study.

9. PREDICTIVE POWER OF ASYMMETRIC GARCH MODELS IN VOLATILITY ESTIMATION: A CASE STUDY FOR SWITZERLAND STOCK EXCHANGE.

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