Content
December 2009, Volume 12(541)(supplement), Issue 12(541)(supplement)
- 725-734 The Importance Of Systemic Risk Management And Macroprudential Supervision In Avoiding The Future Occurrence Of A Financial Crisis Similar To The Present One
by Arion Negrilă - 735-742 Investigating Romanian Fiscal Adjustments
by Emilia Câmpeanu & Andreea Stoian - 743-747 The Chinese Model Of Local Public Finances
by Attila Gyorgy & Adina Cristina Gyorgy - 748-755 Central Bank And Financial Stability: A Case Of Bosnia And Herzegovina
by Živko Igor & Skoko Branimir & Čolak Anela - 756-762 Volatility Dynamics Of Euro–Dollar Foreign Exchange Market
by Jungseek Hwang & Sungkyun Park & Sang Hoon Kang & Suyeol Ryu & Seong-Min Yoon - 763-770 Forecasting Long-Memory Volatility Of The Australian Futures Market
by Seong-Min Yoon & Sang Hoon Kang & Sung-Jin Cho & Gyun Woo & Jeong-Hoon Ji - 771-777 Value-At-Risk Analysis Of Kospi 200 Sector Indices
by Sang Hoon Kang & Hwan-Gue Cho & Suyeol Ryu & Seong-Min Yoon & Sung-Jin Cho - 778-785 Development Of The Georgian Banking System In The Last 20 Years (1989-2009)
by Kunchulia Paata - 786-793 Arab Stock Market And The Global Economic Crisis: Some Cases Analyses
by Mokhtar Maazouz - 794-799 Sovereign Rating Dynamic And Capital Market: Analytical Perspective At The Level Of The Cee Countries
by Cristina Maria Triandafil & Petre Brezeanu
November 2009, Volume 11(540), Issue 11(540)
- 1-1 The Scarcity of Explicative Models
by Marin Dinu - 3-14 Deficiencies of the Public Pension System in Romania. Some Reform Measures Derived from the EU Experience
by Mihaela Dragota & Emilian Miricescu - 15-26 Coping with Robust Development. Contribution to Lengthen Life & Pleasure
by Carmen Costea - 27-32 Banking Restructuring Techniques in the Economical Crisis Context
by Vasile Dedu & Sorin Adrian Lazarescu & Dan Costin Nitescu - 33-40 Theoretical and Practical Aspects Regarding the Nulity of Commercial Companies
by Cornelia Lefter & Ovidiu Ioan Dumitru - 41-50 An Empirical Analysis of Romania’s Comovement with the Euro Zone
by Nicolae Dardac & Elena Bojesteanu - 51-56 The Operational Risk – Comparative Analysis
by Gabriela Victoria Anghelache & Ana Cornelia Olteanu - 57-62 The End of Certainty in the Complexity of New Economy
by Constantin Popescu & Cristina Burghelea & Cosmin Armas - 63-76 Increasing Responsibility towards Environment
by Mihaela Comanescu
October 2009, Volume 10(539), Issue 10(539)
- 1-1 The Costs of Democracy
by Marin Dinu - 3-16 Relationship between Occupational Stress, Emotional Intelligence and Job Performance: An Empirical Study in Malaysia
by Azman Ismail & Yeo Suh-Suh & Mohd Na’eim Ajis & Noor Faizzah Dollah - 17-22 The Impact of Decentralization on Public Health System’s Results. The Case of Romania
by Tudorel Andrei & Constantin Mitrut & Daniela L. Constantin & Bogdan Oancea - 23-34 Effective Results Analysis for the Similar Software Products’ Orthogonality
by Ion Ivan & Daniel Milodin - 35-42 Principles for Private and Public Internalisation of Externalities. A Synoptic View
by Tatiana Mosteanu & Mihaela Iacob - 43-52 ial Globalization and the New Capitalism
by Ion Bucur - 53-66 Regional Discrepancies in the European Union
by Amalia Nicoleta Coman & Paul Coman
September 2009, Volume 09(538), Issue 09(538)
- 1-1 The Rhythm of Common Sense
by Marin Dinu - 3-8 The Relationship between Economic Growth and Money Laundering – a Linear Regression Model
by Ion Stancu & Daniel Rece - 9-16 Comparison of Macroeconomic Performance of Selected Asian Countries. An Econometric Analysis of China Economic Growth and Policy Implications
by Hasret Benar Balcioglu & Kivanç Vural - 17-30 The Implementation of Systemic Risk Management and the Reinforcing of Macro-Prudential Supervision – Vital Elements in Avoiding the Future Occurrence of a Financial Crisis Similar to The Present One
by Arion Negrila - 31-40 The Civil Servants Career Development
by Mihaela Comãnescu - 41-50 Variable Costs Method. Application Variants Adapted to Romanian Accounting Plan
by Gheorghe V. Lepãdatu - 51-75 The Efficiency of Implementing SOPHRD in Romania – Evolutions and Perspectives
by Cristina Iova
August 2009, Volume 08(537), Issue 08(537)
- 1-1 The liquidity crisis of trust
by Marin Dinu - 3-16 The Future of the Banking Supervision in Europe
by Nicolae Dardac & Elena Georgescu - 17-28 The Penrose’s Law and Decision-Making Processes in the Council of the European Union. Case Study: the Impact of the Square Root’ Rule on Formation of Romania’s Coalitions in the Council of Ministers
by Constantin Chiriac - 29-40 Empirical Analysis Concerning the Correlation Fiscality Rate – Tax Incomes in Romania
by Raluca Drãcea & Mirela Cristea & Ionut Tomescu - 41-56 The Mimetic Principle in the Underground Economy
by Cristina Voicu - 57-66 Relational Marketing – the Prerequisite to Implement Tourist Companies’ Marketing Strategies
by Maria Carmen Iordache & Denisa Parpandel
July 2009, Volume 07(536), Issue 07(536)
- 1-1 Fleeing the extremes
by Marin Dinu - 3-28 Public Integrity and Performance of Governance. A Comparative Study for South-Eastern Europe
by Ani Matei & Lucica Matei - 29-36 The Operational Risk – Minimum Capital Requirements
by Gabriela Victoria Anghelache & Ana Cornelia Olteanu - 37-44 Guarantees in Banking Operations with Bank Customers
by Vasile Dedu & Adrian Enciu - 45-52 Mergers & Acquisitions – a Simulation Model Used in the Negotiation Process
by Florin Grosu - 53-62 Aspects Regarding the Development and the Integration of the Corporate Social Responsibility Concept in Firms’ Behaviour. Particularities for Small and Medium-sized Enterprises
by Georgeta Vintila & Maricica Moscalu - 63-70 The Role of Promotion in Milling and Bakery Products Sales
by Sergiu-Bogdan Constantin
June 2009, Volume 06(535), Issue 06(535)
- 1-1 The bubble of ideologies
by Marin Dinu - 3-12 International Road Freight Transport in France: Experiences from Germany, the Netherlands and Driver Costs Analysis
by Laurent Guihery - 13-26 Managerial Stock Compensation and Risky Investment
by Raluca Georgiana Nastasescu - 27-36 Crisis and Dialectics of some Fundamental Economic Relations
by Ion Pohoata & Andreea-Oana Iacobuta - 37-44 The Cluster Association - a Form of Business Development
by Elena Enache & Camelia Vechiu & Cristian Morozan - 45-56 The Management of Social Services in the European Union from the Perspective of Global Challenges
by Carina-Elena Stegaroiu & Valentin Stegaroiu - 57-64 The Forest of Romania: a Social - Economic's Dramma
by Toma Roman
May 2009, Volume 05(534), Issue 05(534)
- 1-1 The Liberty of the Crisis
by Marin Dinu - 3-20 About Crisis. A Short and Joyless Description
by Ion Pohoata - 21-44 Modeling Multivariate Volatility Processes: Theory and Evidence
by Jelena Z. Minovic - 45-62 On the Logically Vivid System
by Emil Dinga - 63-68 Analysis of Main Economic Factors Influence on Romanian Tourists Number Accommodated in Romania, using Anova Method
by Emilia Gabroveanu & Roxana Elena Stan & Nicoleta Radneantu - 69-78 A Simple Early Warning System for Evaluating the Credit Portfolio's Quality
by Nicolae Dardac & Iustina Alina Boitan - 79-88 The Economic Crisis and its Effects on SMEs
by Roxana Gabriela Hodorogel
May 2009, Volume 05(534)(supplement), Issue 05(534)(supplement)
- 7-13 Sustainibility Aspects Of Property Valuations
by Ion Anghel & Muler Onofrei - 14-19 The Relevance Of Discriminatory Analysis For The Evolution Of Shares Byone Issuing On Stock Exchange Market
by Eduard Dinu & Stefania-Cristina Curea - 20-27 The Place And Role Of The Sustainability Indicators In The Transition Process To A Model Of Sustainable Development
by Eduard Dinu & Stefania-Cristina Curea - 28-32 Real Estate Investments In Romania €“ Analysis And Tendencies
by Ana Morariu & Cornel Dumitru Crecana - 33-38 The Strategy Of The Internal Audit In Managerial Councelling
by Ana Morariu & Cornel Dumitru Crecana - 39-55 Enterprise Restructuring In Romania'S Transition Economy. Concept, Methodology And Measurement
by Dumitru D. Popescu - 56-64 Market Risk Assessment Of A Bank. Methods And Measurements
by Dumitru D. Popescu - 65-71 Financial Communication Through Internet In Transition Economies €“ Patterns And Challenges
by Vasile Robu & Raluca Sandu - 72-75 The Impact Of Financial Analysis On Romanian Insurance Market
by Nicolae Georgescu & Cosmin Serbanescu - 76-82 ARE SMEs IN ROMANIA INNOVATING?
by Elena Claudia Serban & Raluca Cretu - 83-94 The Implications Of The Fiscal Amortization On The Performance Indicators
by Lucian Buse & Mirela Ganea - 95-98 Estimation Of The Price Of Land And Its Effects On Product Unit Costs
by Ioan Pana & Viorica Pana - 99-104 Managerial Decisions Based On The Breakeven Point In Agricultural Exploitations
by Ioan Pana & Maria-Daniela Bondoc - 105-110 Studies Regarding The Financial Equilibium Of The Company
by Maria Batrancea & Ioan Batrancea - 111-117 Valuation Concepts And Theories Related To The Invisible Parts Of Businesses
by Silvia Petrescu - 118-123 Value Creation Analysis. Economic Value Added
by Silvia Petrescu & Ciprian Apostol - 124-133 Considerations Regarding The Concept And Indicators Of The Economic-Financial Performance
by Florea Radu & Marian Taicu - 134-142 Matrix Approach Of Strategic Positioning In The Hospitality Industry
by Monica Petcu & Iulia David-Sobolevschi - 143-148 The Relevance Of Consolidating The Financial Statements Within The Group Of Companies' Decision-Making Process
by Iulia David-Sobolevschi & Monica Petcu - 149-164 Financial Analysis Versus Extra-Financial Analysis In Measuring The Performance Of The Sustainable Organization
by Marilena Mironiuc - 165-173 Adaptation Of Production Technologies With The Aim To Increase The Quality Of The Agricultural Production And The Respect Towards The Environmental Norms
by Adrian Anica-Popa & Irina Daniela Cismasu - 174-181 The Diagnosis Analysis Of Regional Innovation-Approaches And Opinion
by Anca Maria Hristea - 182-187 Innovation €“ The Cornerstone Of Economic Succes At Regional And International Level
by Anca Maria Hristea - 188-199 The Real Estate Recession And The Performances Of Firms In Romanian Construction Industry
by Mihaela Diana Oancea-Negescu & Adrian Anica-Popa - 200-203 The Principle Of Consistency In Enterprise Assessment
by Ana Maria Popescu - 204-213 Refined Economic Value Added €“ An Indicator For Measuring The Performances Of The Companies
by Daniel Circiumaru & Marian Siminica - 214-226 Modern Models Of General Financial Diagnosis Of The Company In The Present Context Of Economic And Financial-Accounting Globalization
by Monica Achim & Sorin Borlea - 227-231 Monte Carlo Simulation €“ A Qualitative Method Analysis And Evaluation Of The Company'S Performance And Risks
by Ciprian Apostol - 232-235 Judgments Concerning The Accounting Controversial Over The Revaluation Of Estate Investments
by Raluca Andreea Trandafir & Nicoleta Asalos - 236-240 The Operational Risk And The Application Of The Cost-Volume-Profit Model
by Maria-Daniela Bondoc & Mariana Banuta - 241-247 Intellectual Property And Globalization €“ Micro-Economical Consequences: Analysis And Diagnosis
by Alina Balan & Mihaela Birsan - 248-255 The Economic Analysis And The Improvement Of The Professional Reasoning In The Evaluation Of The Property
by Mihaela Birsan & Alina Balan - 256-260 The Influence Of Indebtedness Degree On Companies' Performances In Wholesale Trade
by Florina Mocanu - 261-275 Credit Risk At Banca Transilvania Sa In The Actual Global Context
by Mioara Turcas
April 2009, Volume 04(533), Issue 04(533)
- 1-1 Anti-system education
by Marin Dinu - 3-20 Transformation/Innovation or Patchwork? Juxtaposition of Public Policy Process and the Role of Leadership in a Chaotic Environment: Is a New Paradigm in the Make?
by Asghar Zomorrodian - 21-34 Towards a New Approach of the Economic Intelligence Process: Basic Concepts, Analysis Methods and Informational Tools
by Sorin Briciu & Marinela Vrîncianu & Florin Mihai - 35-56 The Internal Capital Adequacy Assessment Process ICAAP – a New Challenge for the Romanian Banking System
by Arion Negrila - 57-66 Controversies Regarding the Economic Part Played by the State in Economy
by Tiberiu Cristian Avrãmescu & Emilia Ungureanu - 67-74 Loan Products Included in the Offer of Commercial Banks
by Vasile Dedu & Adrian Enciu - 75-80 Research Methodologies for Management Information in Romania
by Ofelia Aleca & Florin Mihai & Andrei Stanciu & Marinela Vrîncianu
March 2009, Volume 03(532), Issue 03(532)
- 1-1 The deadlock of Economics
by Marin Dinu - 03-16 The Use of Performance Contracts for Delivery of Social Services in the United States
by Maria P. Aristigueta & Lynne R. Foote - 07-28 Marketing of Local Public Services under the Reduction of Administrative Expenditures
by Ani Matei & Lucica Matei & Teodora Dinu - 29-40 Is the Incidence of the Monetary Policy on the Mortgage Market Possible?
by Teodora Barbu & Georgeta Vintila - 41-48 Some Aspects Regarding the Analysis of the Life Insurance Market
by Constantin Anghelache & Dan Armeanu & Ion Pârtachi - 49-56 Dashboard Auditing of Activity-Based Costing (ABC)
by Sorinel Capusneanu - 57-70 Considerations on the Remuneration System of the Public Administration – an Analysis on Electoral Cycles and Scenarios Development
by Tudorel Andrei & Marius Profiroiu & Bogdan Oancea & Monica Nedelcu - 71-78 Grounding the Marketing Strategy of the Organizations in the Field of Health Care
by Iuliana Cetina & Gheorghe Orzan & Violeta Radulescu & Mihai Orzan
February 2009, Volume 02(531), Issue 02(531)
- 1-1 The crisis of economics
by Marin Dinu - 03-16 The Transformation of Municipal Services: towards Quality in the Public Sector
by Pablo Gutiérrez Rodríguez & José Luis Vázquez Burguete & Roge Vaughan & Jonathan Edwards - 17-34 Quantitative Evaluations of Foreign Direct Investments Impact on Productivity Development of Companies from Central and Eastern Europe
by Marilen Pirtea & Carmen Corduneanu & Bogdan Dima & Laura Milos - 35-48 Minority Shareholders’ Protection: the Romanian Experience
by Victor Dragota & Anamaria Ciobanu & Delia Catarama & Andreea Semenescu & Carmen Maria Lacatus - 49-60 Quantifying Update Effects in Citizen-Oriented Software
by Ion Ivan & Sorin Pavel - 61-72 Is there Needed an Industry Approach on Corporate Default Risk? Case Study on Companies Listed on Romanian Stock Exchange
by Cristina Maria Triandafil & Petre Brezeanu & Marius Petrescu & Leonardo Badea - 73-78 Controversies in the Debate Regarding Economic Convergence
by Marieta Stanciu & Carmen Puiu
January 2009, Volume 01(530), Issue 01(530)
- 1-1 The Spontaneous Order
by Marin Dinu - 03-18 Simultaneous Equations Models Used in the Study of Some Issues Related to the Corruption and Performance of Services in the Public Health System
by Tudorel Andrei & Ani Matei & Bogdan Oancea - 33-44 Developing a Rating Model on a Statistical Basis
by Vasile Dedu & Tudor Alexandru Ganea - 45-60 Drafting Multiannual Local Budgets by Economic-Mathematical Modelling of the Evolution of Revenues
by Ioan Radu & Viorel Lefter & Minodora Ursacescu & Cleopatra Sendroiu & Mihai Cioc - 61-78 The EMU is Done. How about the Fiscal Union and the Next Future of the United Europe?
by Liviu C. Andrei - 79-88 The Prospects of the Corporate Taxation Agreement in the European Union
by Gheorghe Matei & Pârvu Daniela
Januaary 2009, Volume 01(530), Issue 01(530)
- 18-32 Conceptual and Technical Study Regarding Future Accounting Regulation for SMEs in Europe
by Adela Deaconu & Irimie Popa & Anuta Buiga & Melinda Fulop
December 2008, Volume 12(517)(supplement), Issue 12(517)(supplement)
- 5-8 Considerations On The Role Of Economic Analysis In The Field Of Competition
by Tatiana Mosteanu & Maria Alexandru - 9-17 The Pros And Cons Of A Preferential Fiscal System For Smes
by Georgeta Vintila & Maricica Moscalu & Maria-Oana Filipescu - 18-23 Optimization Of Mortgage Loans Granting Procedures
by Teodora Cristina Barbu & Iustina Alina Boitan & Ion Radu Zilisteanu - 24-30 The Liquidity On The Market Governed By Orders
by Bogdan Negrea - 31-36 Financial Crisis And Its Implication On Obtaining Founds On The Capital Market
by Ilie Vasile & George Horia Ionescu & Elena Radu - 37-44 Some Aspects Of The New Wave Of Globalization
by Daniela Lidia Roman - 45-49 Cost Of Capital Considerations
by Laura Obreja Brasoveanu & Anamaria Ciobanu & Iulian Brasoveanu - 50-56 Fraud In Motors’ Insurance €“ Practical Aspects Of Romanian Insurance Market
by Marius Gavriletea & Melinda Plescan - 57-62 Artificial Intelligence Applications In The Financial Sector
by Adrian Cozgarea & Gabriel Cozgarea & Andrei Stanciu - 63-70 Incidence Of Legislative Changes On The Romanian Public Debt Sustainability
by Emilian Constantin Miricescu & Emilia Mioara Campeanu - 71-78 The Performances Of Industrial Firms From Romania. Correlation Dimension €“ Indicators Of Results
by Marian Siminica & Dorel Berceanu & Daniel Circiumaru - 79-84 The Market Of Foreign Direct Investment In Moldova And Its Impact On National Economy
by Rodica Hincu & Ghenadie Ciobanu - 85-89 The Functioning Of The Eurogroup: Present Problems And Challenges For The Future
by Dan Ivanescu & Laura Ivanescu - 90-97 Interrelation Between The Exchange Rate And The Interest Rate In Romania
by Catalina Handoreanu - 98-103 Arch Testing Heteroscedasticity On The Bet Index
by Ionut Teodor Ionescu & Radu Stroe - 104-107 The Analysis Of Leverage Influence On Performance
by Andrei Stanculescu - 108-115 The Monetary Policy Transmission Mechanism Through Interest Rate. Empirical Analysis: Romania
by Gabriel Bistriceanu - 109-116 Pecularities Of Cee Countries Exchange Rate Volatility. Empirical Evidence Under The Interference Between Transitory And Permanent Dimensions
by Cristina Maria Triandafil & Petre Brezeanu - 117-126 Testing The Semi-Strong Form Of The Efficient Market Hypothesis On Public Offers For Acquisition/Takeover In The Pharmaceutical And The Aluminium Sectors Of The Romanian Capital Market
by Dragos Ioan Minjina & Oana Resceanu - 127-134 Considerations On The Implementation Of Cost-Benefit Analysis In Evaluating The Efficiency Of Investing In Higher Education
by Georgiana Camelia Cretan & Yvonne Iulia Lacrois - 135-140 Romania’S Ability To Draw European Funds
by Daniela Florescu - 141-145 Structural And Cohesion Funds From The European Union And Their Use Within The Public Order Institutions
by Catalina Carmen Huba (stefanescu) - 146-160 Corporate Governance In The European Union: A Timeline Of Regulatory Transformations
by Voicu D. Dragomir & Elena Roxana Ilcu
December 2008, Volume 12(529), Issue 12(529)
- 1-1 The physics of human nature
by Marin Dinu - 03-38 Contextualism Revisited: Towards a More Relevant Conceptualization of Public Administration for Ethical and Sustainable Leadership in the Global Context
by Asghar Zomorrodian - 39-60 Characteristics of Managing Operational Banking Risk
by Leonardo Badea & Adela Socol - 61-68 A New International Economic and Financial Order
by Nicolae Danila - 69-80 Considerations Regarding GW as a Way for Evaluation of the Efficiency of the Reenterprise of the Enterprises
by Georgeta Vintila & Roxana Arabela Dumitrascu - 81-88 Economic Efficiency of EU Decision Making Process. Case Study: Measurement of Voting Power Indices of Romanian Parliament, 1996-2004
by Constantin Chiriac - 89-100 Aspects Regarding the Motivation and Forms of Foreign Banks’ Penetration in Central and Eastern Europe
by Daniel Badulescu & Alina Badulescu
November 2008, Volume 11(528)(supplement), Issue 11(528)(supplement)
- 7-13 Theories And Approaches Regarding The Cost – Benefit Analysis Role And Principles
by Tatiana Mosteanu & Mihaela Iacob - 14-16 Financial Equilibrium In European Union
by Radu Stroe & Stefan Buciuc - 17-22 Fiscal Sovereignty In Romania – European Union Member State
by Lidia Daniela I. Roman - 23-26 Regards About Fiscal Competition
by Mariana Vuta & Paula Lazar - 27-31 The Reform Of The Liberal Professions – Initiated Measures, Controversies And Restrictions
by Maria Alexandru - 32-35 The Interest Rate – Factor That Determines Investment In Saving Instruments
by Magdalena Calin - 36-42 Fiscal Policy And Real Convergence. The Case Of Central And Eastern European Countries
by Delia Tatu & Lucian Tatu - 43-50 Analyzing The Public Debt Sustainability In Emu
by Emilia Mioara Campeanu - 51-59 Correlations Between Fiscal Policy And Macroeconomic Indicators In Romania
by Iulian Brasoveanu & Laura Obreja Brasoveanu & Cristian Paun - 60-64 Analyzing Causality Between Romania’S Public Budget Expenditures And Revenues
by Andreea Stoian - 65-71 Tax Evasion: An Analysis Of The Collocation “Pay With Money, Not With Years”
by Delia Catarama - 72-78 Regional Development Program. Present State Of Ispa Program And Perspectives For Romania
by Daniela Calinescu - 79-84 Romanian Budgetary Consolidation Between European And Local
by Attila György & Adina-Cristina György - 85-92 Some Aspects Regarding The Administrative Absorption Capacity For The Structural Funds In The Czech Republic, Estonia, Hungary, Slovakia, Slovenia And Romania Before Accession
by Oana Lahman - 93-99 Recovery Ratings In The Event Of Sovereign Default Issuers. An Investigation On The Factors Which Influence Their Calculation By Standard & Poor’S
by Emilian Miricescu - 100-106 Public Investments, Determinants Of Economic Development
by Andreea Semenescu - 107-110 Structural Funds – An Instrument Of Economic Growth Within The Policies Of Cohesion And Regional Convergence
by Meral Kagitci - 111-114 United Europe And Its Problems
by Dan Ivanescu - 115-123 The Governmental Policies That Encourage The Positive Contributions Of The Foreign Direct Investments Inflows
by Mihail Vincentiu Ivan & Viorela Iacovoiu - 124-133 Analysis Regarding The Israeli Pension Funds System
by Mariana Popa & Paul Tanasescu - 134-137 Risk Transfer Through Insurance Contract – Part Of Business Risk Management
by Doina Popescu - 138-144 Protection Against Natural Catastrophes In Romania
by Marius Gavriletea & Krisztina Kiraly - 145-149 The Mandatory Private Pensions. A European Challenge For Romania
by Cosmin Serbanescu - 150-156 The Development Of The Financial Risks Reinsurance Activity From The Single European Market Perspective
by Mihaela Cojocaru - 157-165 Econometrical Models For Estimating The Life Insurance Demand
by Simona Dragos & Cristian Dragos - 166-172 A model for generating efficient investment portfolios for the insurance companies on the Romanian market
by Filip Iorgulescu - 173-179 The portofolio administering at the isurance companies by A.P.T. multifactorial model
by Mitica Pepi - 180-185 Asymmetry in the stochastic volatility models
by Bogdan Negrea & Elena Bojesteanu - 186-193 Episodic dependencies and the profitability of moving average strategy on Romanian capital market
by Alexandru Todea - 194-202 Value-at-risk. Measurement and evaluation methods for market risk
by Alina Grigore - 203-210 Stochastic Volatility Models And Stylized Facts
by Ionut Alin Sima - 211-219 The Impact Of Financial Statements Announcements On Stock Prices At Bse
by Adrian Zoicas-Ienciu - 220-228 Multiples And Their Use For Equity Valuation On European Capital Markets
by Dragos Ioan Minjina - 229-235 Quantitative Analysis Of Banks’ Management Performance
by Nicolae Dardac & Iustina Alina Boitan - 236-243 The Impact Of Mergers And Acquisitions On The Economic Performances
by Teodora Barbu & Bogdan Dumitrescu - 244-249 Banking Crises And Their Implications On The Financial System
by Carmen Obreja & Dan Stefan Armeanu - 250-260 Monetary Policy Transmission Mechanism In Romania - A Var Approach
by Marius Alin Andries - 261-267 Price And Wage Inflation
by Alina Lucia Trifan - 268-275 Nbr Monetary Policy Interest Rate: Determinants And Optimum Level
by Gabriel Bistriceanu - 276-284 The Relationship Between The Exchange Rate And The Inflation: Empirical Survey For Romania
by Catalina Adriana Handoreanu - 285-292 Interest Rate Risk Quantification Models
by Ana-Cornelia Puiu & Alina Nicoleta Radu - 293-298 The Influence Of R&D Policy On Performance Of The Companies Listed With Bucharest Stock Exchange (Through Intangible Assets)
by Iuliana-Ioana Purcarea & Ion Stancu - 299-307 Corporate Competitiveness In The Context Of Consolidating The Common Tax Base Regarding Profit Taxation In The European Union
by Georgeta Vintila & Oana Filipescu - 308-315 Capital Effectiveness Valuation Destined To Investments In Conditions Of Uncertainty
by Dalina Dumitrescu - 316-326 The Impact Of The Country Rating On The Corporate Rating: Empirical Perspective In The Context Of Financial Globalization
by Cristina Maria Triandafil & Petre Brezeanu