Skip to main content
Skip to main navigation menu
Skip to site footer
Open Menu
The Contrarian : Finance, Accounting, and Business Research
Home
Current
Archives
About
About the Journal
Aims and Scope
Editorial Team
Reviewer
Privacy Statement
Contact
Publication Ethics
Journal Policies
Instructions for authors
Submissions
Open Access Policy
Peer Review Process
Plagiarism Policy
License Terms
Copyright Terms
Archiving Policy
Repository Policy
Author Fees
Waiver Policy
Data Availability Policy
Announcements
Search
Register
Login
Home
/
Archives
/
Vol. 2 No. 2 (2023)
Vol. 2 No. 2 (2023)
Published:
2023-06-17
Articles
Stock portfolio and optimal return
Sartika Sartika
28-35
PDF
The relationship between oil prices and energy sector stocks in the global recession issue
Christina Mikhaila Suoth, Feibe Cindy T Rumengan
36-40
PDF
The confidence interval analysis for stocks with “Unusual Market Activity”
Tarisa Syafitria Suratman, Tirsayan Ibrahim
41-50
PDF
The impact of inflation on growth of market index
Fenilisia Kanan, Jumnibianti Nahading
51-55
PDF
The “Christmas Effect” on defensive accelerated stocks
Meyni Christy Kuada, Setiani Mamonto
56-60
PDF
Stock risk and return before and during the covid-19 pandemic
Alther Gabriel Liwe
61-66
PDF
Garuda
Crossref
Similarity Check
Current Issue
Visitors
View My Stats
Information
For Readers
For Authors
For Librarians
Keywords