All Stories

  1. Members’ misrepresentation practices: The case of Russian journal editorial boards
  2. How Russia uses science to justify the annexation of Ukrainian territories
  3. Stolen Ukrainian universities: An invisible russian weapon
  4. Sustainability benchmarks and progress: EU-Ukraine experience
  5. Sanctions against russian science: Pros and cons
  6. Illusion of stability: An empirical analysis of inflation data manipulation by russia after 2022
  7. Transformation of the Ukrainian Stock Market: A Data Properties View
  8. Persistence in high frequency financial data: the case of the EuroStoxx 50 futures prices
  9. Responsible investment benchmarks and information asymmetry in the ESG segment
  10. Assessing the impact of the russian invasion on the competitiveness in the Ukrainian insurance market
  11. Filling a financial gap in SDG3 achievement: Investments vs. budget funds
  12. Persistence in the cryptocurrency market: does size matter?
  13. INFORMATION TRANSPARENCY AND RESPONSIBLE INVESTMENT
  14. ESG vs conventional indices: Comparing efficiency in the Ukrainian stock market
  15. Seven Pitfalls of Technical Analysis
  16. Seven pitfalls of technical analysis
  17. Price Forecasting in Energy Market
  18. Forecasting the net investment position based on conventional and ESG stock market indices: The case of Ukraine and Austria
  19. РИЗИК, АНАЛІЗ, ПЕРСПЕКТИВИ ІМПАКТ-ІНВЕСТУВАННЯ В ПОСТКОНФЛІКТНЕ ВІДНОВЛЕННЯ ЕКОНОМІКИ УКРАЇНИ
  20. Transparency of agriculture companies: rationale of responsible investment for better decision making under sustainability
  21. Transparency of agriculture companies: rationale of responsible investment for better decision making under sustainability
  22. Net investment position and the stock market: The case of traditional and ESG indices
  23. Is There Any Witching in the Cryptocurrency Market?
  24. Persistence in High Frequency Financial Data
  25. Persistence in the Passion Investment Market
  26. The Reasoning of a Responsible Investment Position in the Structure of the Stock Exchange Market
  27. SDG 4 and SDG 8 in the knowledge economy: A meta-analysis in the context of post-COVID-19 recovery
  28. Daily abnormal returns and price effects in the “passion investments” market
  29. Meta-analysis of the literature related to SDG 3 and its investment
  30. SDG 3 and financing instruments in Austria and Ukraine: Challenges and perspectives
  31. Sustainable Development Goals in agriculture and responsible investment: A comparative study of the Czech Republic and Ukraine
  32. Gold and oil prices: abnormal returns, momentum and contrarian effects
  33. Bitcoin Returns and the Frequency of Daily Abnormal Returns
  34. The frequency of one-day abnormal returns and price fluctuations in the forex
  35. Witching Days and Abnormal Profits in the US Stock Market
  36. Persistence in ESG and Conventional Stock Market Indices
  37. SDGs and ESG disclosure regulation: is there an impact? Evidence from Top-50 world economies
  38. Momentum effects in the cryptocurrency market after one-day abnormal returns
  39. Substantiation of the Essence and Typology of Responsible Investing as a Mechanism of Public Investment Policy
  40. Momentum and contrarian effects in the Ukrainian stock market: case of daily overreactions
  41. Mapping Of The Responsible Investments Instruments In Sdg 3 ‘Good Health And Well-Being’ Financing: EU And US Experience
  42. Gold and Oil Prices: Abnormal Returns, Momentum and Contrarian Effects
  43. Abnormal Returns and Stock Price Movements: Some Evidence from Developed and Emerging Markets
  44. The Frequency of One-Day Abnormal Returns and Price Fluctuations in the Forex
  45. Optimal investment portfolio selection from the largest Ukrainian companies: comparative study of conventional and responsible portfolios
  46. Market anomalies and data persistence: The case of the day-of-the-week effect
  47. ESG disclosure regulation: in search of a relationship with the countries’ competitiveness
  48. Month of the year effect in the cryptocurrency market and portfolio management
  49. Exploring price gap anomaly in the Ukrainian stock market
  50. Bitcoin fluctuations and the frequency of price overreactions
  51. Environmental, social and governance investment standardization: moving towards sustainable economy
  52. Long memory and data frequency in financial markets
  53. Force majeure events and stock market reactions in Ukraine
  54. On stock price overreactions: frequency, seasonality and information content
  55. Price Overreactions in the Forex and Trading Strategies
  56. Force Majeure Events and Stock Market Reactions In Ukraine
  57. Halloween Effect in Developed Stock Markets: A US Perspective
  58. Momentum Effects in the Cryptocurrency Market after One-Day Abnormal Returns
  59. Price Gap Anomaly in the US Stock Market: The Whole Story
  60. January effect: 200 years of evolution in the us stock market
  61. Persistence in the cryptocurrency market
  62. Exploring frequency of price overreactions in the Ukrainian stock market
  63. Competitiveness in the Ukrainian stock market and local crisis of 2013–2015
  64. IS MARKET FEAR PERSISTENT? A LONG-MEMORY ANALYSIS
  65. IS THERE A FRIDAY EFFECT IN FINANCIAL MARKETS?
  66. On the Frequency of Price Overreactions
  67. Price Overreactions in the Cryptocurrency Market
  68. Price Overreactions in the Cryptocurrency Market
  69. Bitcoin Fluctuations and the Frequency of Price Overreactions
  70. Price Gaps: Another Market Anomaly?
  71. The role of accounting in sustainable development
  72. Market efficiency of traditional stock market indices and social responsible indices
  73. VOLATILITY EXPLOSIONS AND PRICE PREDICTION: CASE OF OIL MARKET
  74. Standardization of sustainability reporting: rationale for better investment decision-making
  75. Chapter 24: Behavioral Finance Market Hypotheses
  76. Calendar Anomalies in the Ukrainian Stock Market
  77. Short-Term Price Overreactions: Identification, Testing, Exploitation
  78. The weekend effect: a fractional integration and trading robot analysis
  79. COMPETITIVENESS OF THE UKRAINIAN AUDIT MARKET
  80. The weekend effect: a fractional integration and trading robot analysis
  81. Is There a Friday Effect in Financial Markets?
  82. Persistence in the Cryptocurrency Market
  83. Long Memory and Data Frequency in Financial Markets
  84. The Day of the Week Effect in the Crypto Currency Market
  85. The viability of asset price channel implementation to the monetary transmission mechanism of Ukraine
  86. The weekend effect: an exploitable anomaly in the Ukrainian stock market?
  87. Searching for Inefficiencies in Exchange Rate Dynamics
  88. Calendar Anomalies in the Ukrainian Stock Market
  89. Calendar Anomalies in the Ukrainian Stock Market
  90. Detecting 'Fake' Price Movements: A Convergence/Divergence Indicator
  91. Intraday Anomalies and Market Efficiency: A Trading Robot Analysis
  92. Long-Term Price Overreactions: Are Markets Inefficient?
  93. Long memory in the Ukrainian stock market and financial crises
  94. The Weekend Effect: A Trading Robot and Fractional Integration Analysis
  95. Behavior of financial markets efficiency during the financial market crisis: 2007 – 2009
  96. Intraday Anomalies and Market Efficiency: A Trading Robot Analysis
  97. Intraday Anomalies and Market Efficiency: A Trading Robot Analysis
  98. Long Memory in the Ukrainian Stock Market and Financial Crises
  99. The Weekend Effect: A Trading Robot and Fractional Integration Analysis
  100. The overreaction hypothesis: the case of Ukrainian stock market