MUSTAPHA, A. . (2026). ASSESSING SHORT- AND LONG-TERM RISK SPILLOVERS IN THE ENERGY-FINANCIAL NEXUS: EVIDENCE FROM INTERNATIONAL COMMODITIES AND THE RUSSIAN STOCK MARKET. Gusau Journal of Accounting and Finance, 7(1), 315-327. https://doi.org/10.57233/gujaf.v7i1.22