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Article title
16(2)
Journal
Journal of Management and Financial Sciences
Publisher
Szkoła Główna Handlowa w Warszawie. Kolegium Zarządzania i Finansów
Year
2014
Identifiers
Volume contents
16(2)
article:
Modelling volatility with Range‑based Heterogeneous Autoregressive Conditional Heteroskedasticity model
(
Skoczylas T.
), p. 9-22
article:
Non‑standard monetary policy tools and their consequences. The review
(
Szunke A.
), p. 23-34
article:
Minimum regulatory capital estimates convergence for LDA and SLA methods
(
Przekop D.
), p. 35-50
article:
The early warning system
(
Tomczak S.
), p. 51-74
article:
Comparison of the information efficiency of the financial markets in selected European Union countries on the event “Central Bank information about changing or not changing the level of the reference rate”
(
Kubacki D.
), p. 75-92
article:
Demand, supply, and policy – trends on the real estate market in Spain in the period 2000–2008
(
Karaś M.
), p. 93-112
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