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Factors affecting stock return volatility in the banking sector in the euro zone Cover

Factors affecting stock return volatility in the banking sector in the euro zone

Open Access
|Jul 2021

Authors

Katarzyna Niewińska

kniewinska@wz.uw.edu.pl

Department of Insurance and Capital Markets, Faculty of Management, University of Warsaw, Warsaw, Poland
DOI: https://doi.org/10.22367/jem.2020.39.07 | Journal eISSN: 2719-9975 | Journal ISSN: 1732-1948
Language: English
Page range: 132 - 148
Submitted on: Jan 2, 2019
|
Accepted on: Dec 3, 2019
|
Published on: Jul 23, 2021
In partnership with: Paradigm Publishing Services
Publication frequency: 1 issue per year

© 2021 Katarzyna Niewińska, published by University of Economics in Katowice
This work is licensed under the Creative Commons Attribution-NonCommercial 4.0 License.