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  2. Untying the Relationship Between R&D and Firm’s Performance: A Mediation Analysis of BSE Listed Companies in India

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  3. Pandemic Crisis and Increasing Systemic Risk Among Tunisian Listed Banks Using CoVAR Measure: The Case of the COVID-19 Crisis

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  4. Do Futures Trading Activities Affect the Spot Market Volatility Spillover? Evidence from India

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  5. Operational Risk and ESG Performance in Indian Banks: the Moderating Role of CEO-Chairperson Duality

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  7. Financial Management. Green Bonds – Success or Failure?

    Published in Expert Journal of Finance (2021)
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  8. Assessing Predictive Power and Earnings Manipulations. Applied Study on Listed Consumer Goods and Service Companies in Ghana Using 3 Z-Score Models

    Published in Expert Journal of Finance (2020)
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  9. Enterprise Risk Management Practices and Organizational Performance. Does Intellectual Capital Make a Difference?

    Published in Expert Journal of Finance (2019)
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  10. Venture Capital Process: Opportunity Selection, Monitoring, Capital Rationing, and Deal Flow

    Published in Expert Journal of Finance (2019)
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  11. An Investigation into Savings Behaviour of Households in Midrand, Johannesburg

    Published in Expert Journal of Finance (2019)
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  12. The Moderating Effect of Financial Literacy on the Relationship between Accounts Receivable Management Practices and Growth of SMEs in Kenya

    Published in Expert Journal of Finance (2019)
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  13. Rating Migration and Bond Valuation: Ahistorical Interest Rate and Default Probability Term Structures

    Published in Expert Journal of Finance (2018)
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  14. Determining the Exchange Rate: Purchasing Power Parity – PPP

    Published in Expert Journal of Finance (2018)
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  15. Effects of Accounts Receivable Financing Practices on Growth of SMEs in Kakamega County, Kenya

    Published in Expert Journal of Finance (2018)
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  16. Efficiency of Operational Activity of Commercial Banks in Romania

    Published in Expert Journal of Finance (2017)
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  17. Fed up with the Rules? Empirical Testing of Taylor Rule Variations in American Monetary Policy

    Published in International Finance and Banking (2025)
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  18. Cryptocurrency as a Sanctions Bypass: The Russian Experience

    Published in International Finance and Banking (2025)
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  19. A Comparative Analysis of Accounting Codes of Ethics

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  20. Assessing the Impact of Monetary Policy on Financial Stability through Non-Performing Loans

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