Content
November 2024, Volume 1, Issue 26
- 7-18 Can University-Industry Partnerships Foster Sustainable Development? A Bibliometric Perspective
by Roxana Maria BÄ‚DÃŽRCEA & Alina Georgiana MANTA & Nicoleta Mihaela DORAN & Liviu Florin MANTA & Gabriela BADAREU & Claudia GHERÈšESCU - 19-27 Financial Risk in Investments and its Modeling
by Bogdan POPA & Jenica POPESCU - 28-45 Current Tax Risk in Romania and Possible Remedies
by Attila Szora TAMAȘ & Ramona-Ionela HARAGUȘ & Attila Szora TAMAȘ & Alin IRIMIA - 46-65 Bibliometric Analysis of the Common Agricultural Policy: Intersections of Agriculture, Economy and Environment
by Cătălin Valentin LĂPĂDAT & Roxana Maria BĂDÎRCEA & Alina Georgiana MANTA & Alexandra Ioana GEORGESCU - 66-79 Bibliometric Analysis of ESG in Banking: What are the Key Directions and Collaborations Behind the Research?
by Claudia GHERȚESCU & Alina Georgiana MANTA & Roxana Maria BĂDÎRCEA & Alia Gabriela DUȚĂ & Alexandra Lucia ZAHARIA - 80-95 Instruments on Tax Compliance in the Romanian Digital Systems
by Ramona-Ionela HARAGUȘ & Attila Szora TAMAȘ & Gabriel Szora TAMAȘ - 96-108 Digitalization in Public Finance: A Bibliometric Analysis
by Mihail OLARU & Roxana Maria BÄ‚DÃŽRCEA & Alexandra Lucia ZAHARIA & Alexandru Mihai FIRU & Bogdan NICOLA - 109-118 Econometric Evaluation of the European Union's Progress in Environmental Protection Through the Lens of Economic Well-Being
by Camelia CERCEL (ZAMFIRACHE) - 119-137 Central Banking in the Digital Age: Exploring Public Perception and Regulatory Strategies for the Digital Euro
by Maria-Emilia DINCULEANÄ‚ - 138-159 Transforming Banking Customer Service: A Detailed Exploration of AI Adoption with Lessons from European Countries
by Maria-Emilia DINCULEANÄ‚
November 2023, Volume 1, Issue 25
- 8-13 New Approaches to Financial and Bankruptcy Risk
by Bogdan POPA & Jenica POPESCU - 14-23 An Overview of Economic Growth in Central and Eastern Europe
by Gabriela BADAREU & Roxana BĂDÎRCEA & Alia DUȚĂ - 24-36 Fintech Trends and Banking Digitalisation. Insights from a Bibliometric Analysis
by Claudia GHERÈšESCU & Alina Georgiana MANTA - 37-45 Assessing the Impact of Corporate Social Responsibility on Financial Performance. The Healthcare Industry
by Loredana-Georgia IVAN (NIÈšU) - 47-56 EU Funds Sustainable Economic Development - A Bibliometric Analysis
by Andra Gabriela DICÄ‚ - 57-70 Implementation of National, Regional and Local Development Strategies by Accessing Structural and Complementary Funds in the Period 2023-2027s
by Cătălin LĂPĂDAT - 81-90 Sustainability of Public Finances in Times of Crisis
by Constanța Adriana GORIE & Bogdan Laurențiu NICOLA - 91-105 A Bibliometric Analysis of Environmental Financing
by Alexandru BACIU
November 2022, Volume 1, Issue 24
- 7-15 Presentation of Interdisciplinary Study Volume Competitiveness of Oltenia - Past, Present and Perspectives
by Constantin FOTA - 16-32 A Bibliometric Analysis of the Relationship between Accounting, Taxation and Audit
by Ramona-Ionela HARAGUȘ & Raluca Oana IVAN & Ioana - Bianca PĂTRÎNJAN (CÂMPEAN) & Attila Szora TAMAȘ - 33-39 Systems of Regional Development Financing: From Classic Mechanisms to Modern Resource Mobilization Channels
by Marin OPRIȚESCU & Alia Gabriela DUȚĂ - 40-49 Behavioral Significance in the Credit Decision Making ProcessAbstract: Behavioral finance research is an attempt to close the gaps in traditional theory, to maximize the expected usefulness of rational investors in effective markets by trying to justify human behavior. A fundamental assumption in behavioral finances is that both the information structure and the characteristics of market participants systemically influence individual investment decisions as much as market results. The investor, as a human being, processes information using shortcuts and emotional filters. This process influences those who make financial decisions in such a way that they act apparently irrationally and choose decisions below the optimal threshold, in violation of effective traditional financial assumptions. The impact of this decision below the optimal threshold has ramifications for capital market efficiency, personal wealth and corporate performance. Behavioral finance focuses on how investors interpret and use information so that they make investment decisions based on real information
by Roxana Elena CRISTEA & Petre BREZEANU - 50-61 Financial and Bankruptcy Risk of Economic Entities. Analysis Models
by Bogdan POPA & Jenica POPESCU & Corina Florentina SCARLAT (MIHAI) - 62-71 FHow Important Is the Relationship between Financial Development and Economic Growth? Bibliometric Analysis
by Gabriela BADAREU & Roxana BÄ‚DÃŽRCEA & Alina Georgiana MANTA & Nicoleta DORAN - 72-82 Bitcoin: Medium of Exchange or Speculative Asset?
by Ioana Raluca DIACONU - 83-90 The Impact of Determinant Factors on Production Cost Variation – An Empirical Study
by Attila Szora TAMAȘ & Alexandra Delia BUGNARIU & Dan Ioan TOPOR & Dan Mihai MUREȘAN - 91-104 Measuring the Risk of Bankruptcy in the Romanian Economy. Developments and Perspectives
by Bogdan POPA - 114-122 Internal Control - Theoretical and Organizational Perspectives in Business Group
by Attila Szora TAMAȘ & Alexandra Delia BUGNARIU2 & Alin IRIMIA & Ion COZMA - 163-173 Digitization of Banking Services Before and After the Pandemic
by Ioana-Cristina POPA & Gheorghe LUCA
November 2021, Volume 1, Issue 23
- 7-9 Study "Emerging Technologies in Oltenia - Present and Perspectives": Review
by Constantin FOTA - 10-12 From Conventional Currency to Cryptocurrency
by Vasile COCRIȘ - 13-24 Industry 4.0 in the South-West Oltenia Region: The Challenges of Emerging Technologies
by Marin OPRIÈšESCU - 37-45 The impact of corruption and poverty on VAT Gap in Central and Eastern Europe
by Ionela BUTU & Petre BREZEANU - 46-56 Fair Accounting “The Primordial Saving Lever†on the Dynamic Front of Tax Evasion
by Ramona-Ionela HARAGUȘ & Attila Szora TAMAȘ - 57-70 Policies to attract European funds: New Challenges
by Dumitru BELDIMAN & Alia Gabriela DUȚĂ - 82-94 Romania’s Journey of Integration into the European Monetary Union: a Quantitative Analysis
by Tatiana PÄ‚UN (ZAMFIROIU) & Corina SCARLAT - 95-108 On Taxation of the Digital Economy. Where Are We Now and Where Are We Going?
by Alin IRIMIA & Attila TAMAS-SZORA & Iulian Bogdan DOBRA - 109-124 The Flat Taxation and Economic Development. A Panel Data Analysis of EU Countries
by Andrei IonuÈ› HUSMAN & Petre BREZEANU - 125-135 Was the Foreign Exchange Market Affected by the Pandemic Crisis?
by Cristina BALINT & Claudiu BORDEA - 136-141 Theoretical Considerations on the Fiscal Space
by Adriana Elena PORUMBOIU & Petre BREZEANU - 142-150 What Does Economic Substance Mean from an Economic Point of View?
by Mihai Dan MUREȘAN & Attila Szora TAMAȘ - 151-162 Quantitative Measurement of Financial Development in Central and Eastern Europe
by Gabriela BADAREU - 163-172 National Rural Development Program - source of funding for priority objectives for rural economy development
by Cătălin LĂPĂDAT - 173-180 Is there any effect of economic growth and human development on fiscal policy implementation?Abstract: The paper's scope is to study the effect of socio-economic structures on fiscal policy implementation in the 28 European Union Member States between 2007 and 2017. Fiscal policy was defined by considering Government Revenue (GREV) and Government Expenditure (GEXP) as a percentage of Gross Domestic Product collected from the Eurostat database and referred to the general government. To determine the socio-economic structures, human development and economic growth were chosen. The following instruments were applied to describe these two indicators: Human Development Index (HDI) to describe human development and were collected from the United Nations Development Programme, and the Gross Domestic Product growth rate (GDPgr) collected from the World Bank to explain economic growth. The methodology applied to test the stationarity of the data is the Unit Root Test and the Ordinary Least Squares method to reflect the impact of economic growth and human development on fiscal policy. The results reveal that human development and economic growth play an essential role in implementing fiscal policy
by Alina Ioana CALINOVICI
November 2020, Volume 1, Issue 23
- 25-36 The Impact of Reforms on Commonwealth of Independent States’ Banking Profitability
by Bogdan CÄ‚PRARU & Iulian IHNATOV & Ovidiu STOICA - 71-81 Agent Troubleshooting Mechanisms: At the Confluence of Law and Economics
by Alia Gabriela DUȚĂ & Victor DUȚĂ
November 2020, Volume 1, Issue 22
- 7-20 The Impact of Blue Economy and Economic Growth on Climate Changes in Baltic Countries
by Marin OPRIÈšESCU & Roxana Maria BÄ‚DÃŽRCEA & Nicoleta Mihaela FLOREA & Alina Georgiana MANTA & Silvia PUIU & Dalian Marius DORAN - 21-33 Possibilities to Quantify the Impact of Accessing Structural Funds and Cohesion Using Econometric Models
by Dumitru BELDIMAN & Alia Gabriela DUȚĂ - 34-43 Comparative Analysis of Some Member States of the European Union in Central and Eastern Europe Regarding the Evolution of the Fiscal Pressure on Taxes
by Raluca Andreea GHEÈšU & Petre BREZEANU - 44-50 Transfer Prices. National and European Perspectives
by Iosif-Simion MIHON & Attila TAMAȘ & Monica Ioana TOADER & Alin IRIMIA - 51-57 The Lawsuits Romania Loses at European Court of Human Rights - Judicial Vulnerability, Fiscal Consequences
by Adriana Elena PORUMBOIU & Petre BREZEANU - 58-63 Increasing Possibilities of Voluntary Tax Compliance Degree
by Valeriu BRABETE & Ioana BRABETE - 64-80 Econometric Models for Quantifying the Impact of Macroeconomic Variables on the Configuration of Banking Assets and Liabilities
by Eleodor-Alin MIHAI & Corina-Florentina SCARLAT (MIHAI) - 81-89 The Monetary Policy Promoted by Romania’s Central Bank: Where To?
by Tatiana (PÄ‚UN) ZAMFIROIU1 - 90-101 Fighting VAT Fraud through Administrative Tools in the European Union
by Ionela BUTU & Petre BREZEANU
November 2019, Volume 1, Issue 21
- 7-12 How Standard VAT is Influencing Economic Growth? An Analysis at European Union Level
by Cristina VLAD & Petre BREZEANU - 13-26 Impact Assessment of Allocated European Funds on Economic Growth in Romania
by Dumitru BELDIMAN & Tatiana PÄ‚UN ZAMFIROIU - 27-35 The Insurance Market in the Context of the Globalization of the Economy
by Gheorghe MATEI & Ștefania-Sonia ZAMFIR - 36-45 Common Agricultural Policy and Agriculture Financing in Romania
by Attila TAMAŞ SZORA & Daniel Petru VÂRTEIU & Alina Nicoleta - 46-53 The public debt stock is an indicator of high interest at the macroeconomic level and regulated within the European Union by the Maastricht Treaty, which provides a level of public debt of at most 60% of GDP. Romania, as a member state of the EU, must fit this percentage. This article analyzes the evolution of public debt in our country in terms of dynamics and structure for the period 2000-2018. The evolution of governmental and local public debt, as well as the service of governmental public debt and the differences between the public debt determined according to the EU methodology and the one determined according to the national methodology is highlighted. Finally, we will draw some conclusions regarding the evolution of the public debt and its sustainability
by Dalian Marius DORAN & Roxana Maria BÄ‚DÃŽRCEA & Alina Georgiana MANTA & Nicoleta Mihaela FLOREA - 54-62 Theoretical Considerations on VAT Structure Rates in the European Union
by Ionela BUTU & Petre BREZEANU & Adriana PORUMBOIU & RalucaAndreea GHEÈšU - 63-78 Financial Management of the Romanian Preuniversitary Education Institutions
by Irina Maria ALEXANDRU & Gheorghe MATEI - 79-106 Banking Relationship and Credit Risk: Another Type of Approach
by Alia Gabriela DUTA & Victor Mihăiță DUTA - 107-111 A Literature Review on Fiscal Risks
by Adriana Elena PORUMBOIU & Petre BREZEANU - 112-119 The Impact of Institutional Investors on Economic Growth of European Countries
by Mihaela BRODOCIANU - 120-126 Use of the Common and Consolidated Corporate Tax Base at European Union Level. Implications for Romania
by Anca BUZIERNESCU & Radu BUZIERNESCU - 127-134 Financial Investment Optimisation
by Octavian Mihai PERPELEA & Tatiana PÄ‚UN ZAMFIROIU - 135-143 Some Considerations Regarding the Influence of Tax Evasion on Fiscality
by Attila TAMAŞ SZORA & Mihai-Dan MUREȘAN & Alina-Nicoleta SOLOVĂSTRU - 144-150 Significant Socio-Economic Developments in the Context of Completing the Implementation of SOPHRD 2007-2013
by Stelian SELIȘTEANU & Anca Alina BUZIERNESCU & Dalian Marius DORAN
November 2018, Volume 1, Issue 20
- 7-18 A Multivariate Analysis of Determinants of Banking Profitability in Romania
by Alina MANTA & Roxana BADIRCEA & Ramona PIRVU - 19-33 Importance of Internal Audit Missions for Private Companies in Fraud Prevention and Detection
by Attila TAMAS & Daniela PETRASCU & Monica Ioana TOADER - 34-44 Financial Management of Public Institutions
by Gheorghe MATEI & Irina Maria ALEXANDRU - 45-52 Tax Harmonization in Fiscal Competitiveness Context
by Cristina VLAD & Birol IBADULA & Petre BREZEANU - 53-61 Challenges of ROBOR growth
by Jenica POPESCU & Bogdan POPA - 62-73 Measuring European Financial Integration. Indicators and Perspectives
by Otilia-Roxana OPREA & Ovidiu STOICA - 74-84 The Conventional Past, Behavioral Present, and Algorithmic Future of Risk and Finance
by Philip Z. MAYMIN - 85-96 Governance and Moral Risk: New Approaches
by OAlia Gabriela DUTA & Victor Mihăiță DUTA - 97-107 Sector Analysis - Maintenance and Repair of Motor Vehicles and Retail Trade of Motor Vehicle Parts and Accessories
by Rodica BACIU (BOANTA) - 108-113 Comparative Analysis of the Evolution of Public Debt in the European Union
by Dalian Marius DORAN & Victor Nicoleta Mihaela FLOREA - 114-126 Banking and European Funds: Funding Mechanisms Accessible to the Romanian Industry?
by Dumitru BELDIMAN - 127-130 Methodology of Bank Relationship Research and Banking Risks. First Part
by Sebastian Alia Gabriela DUTA - 131-137 The „Carousel†Tax Fraud
by Sebastian George PERPELEA & Mihai Octavian PERPELEA - 138-148 The Implication of the Public Budget in Financing the Regional Development
by Dumitru BELDIMAN & Jenica POPESCU - 149-155 The Consequences of Tax Evasion: New Approaches
by Mihai Octavian PERPELEA & Sebastian George PERPELEA - 156-167 Central Bank’s Role in Ensuring Financial Stability and An Efficient Pass-Through of Monetary Policy Measures
by Gabriela LATEA - 168-174 Personal Income Tax in Romania: Where to?
by Anca BUZIERNESCU - 175-188 Analysis of the Influence of the Annualized Rate of Rentability on the Unit Value of the Net Assets of the Private Administered Pension Fund NN
by Constantin DURAC
November 2017, Volume 1, Issue 19
- 7-18 Romania’s regional development strategy between 2014-2020
by Marin OPRIÈšESCU & Dumitru BELDIMAN - 19-27 Methods of Quantifying the Impact of Structural Funds Absorption on Regional Development
by Gheorghe MATEI & Elena Mădălina OPRIȚESCU - 27-40 The modalities and conditions for the financing of transnational research from the U.E. funds in the programming horizon 2014-2020
by Attila TAMAS-SZORA - 41-52 Return on securities of the listed banks, using BET and BET-C indices of the Bucharest Stock Exchange
by Victoria FIRESCU & Jenica Popescu & Bogdan Popa - 71-77 Transfer prices – a debate amongst multinational companies and tax authorities
by Gheorghe MATEI & Andreea - Lavinia CAZACU (NEAMÅ¢U) - 78-87 Qualitative Methods of Research on Banking Risks
by Alia DUȚĂ & Victor Mihăiță DUȚĂ - 88-96 Romania on the threshold of EU accession, from the perspective of a decade of Europeanism
by Octavian Mihai PERPELEA & Dumitru BELDIMAN - 105-113 Quantitative Methods of Research on Banking Risks
by Alia DUȚĂ & Victor Mihăiță DUȚĂ - 114-121 VAT in what direction? New approaches concerning the VAT
by Anca BUZIERNESCU & Alin Stelian SELIȘTEANU & Radu BUZIERNESCU - 122-128 Quantification model of the consequences of monetary policy shocks
by Sebastian Coralia Emilia POPA - 136-144 Econometric Assessment of the Degree of Economic Convergence between Member States of the European Union
by Elena Mădălina OPRIȚESCU - 145-152 Fiscal Post-Crisis Evolutions in the EU
by Liliana Anamaria DRĂGHICI & Roxana BĂDÎRCEA - 153-157 Information Asymmetry and Credit Risk
by Lorena TUPANGIU
December 2016, Volume 1, Issue 18
- 45-50 The Analysis of the Real Convergence of the Countries from Central and Eastern Europe
by Roxana Badircea & Alina Manta & Alia Duta
November 2016, Volume 1, Issue 18
- 7-20 Banking Audit - Towards a Higher Degree of Harmonization
by Adela Socol - 21-23 Europe after BREXIT: Shades and Penumbra
by Marin Opritescu & Mircea Perpelea - 24-35 The Z-Score Model for Predicting Periods of Financial Instability. Z-Score Estimation for the Banks Listed on Bucharest Stock Exchange
by Irina – Raluca Badea & Gheorghe Matei - 36-44 A Comparative Analysis of Bank Performance in Romania in the Period before the Global Financial Crisis and Post-Crisis
by Jenica Popescu & Nela Loredana Mei?a & Bogdan Popa - 51-63 Views on the Credibility of the Nonfinancial Information – New approaches
by Attila Tamas-Szora - 64-74 Elaboration of Public Budget – A Participatory Approach
by Narcis Eduard Mitu - 75-81 Procedural Issues regarding the Audit of the Management and Control of EU Funds, in Terms of Specific Key Requirements of the New Funding Period 2014-2020
by Stelian Selisteanu & Radu Buziernescu & Catalin Mihai Cherciu - 82-93 Banking Risk Management: An Increasingly Complex Process
by Victor Mihaita Duta - 94-102 Study on the Stock Market Evolution of Companies Listed on Bucharest Stock Exchange
by Iulia-Oana Stefan - 103-108 Multiple Linear Regression Equation for Economic Dimension of Standard of Living
by Nicoleta Mihaela Florea & Georgeta Madalina Meghisan & Cristina Nistor - 109-117 Tax Evasion in Romania: New Approaches
by Sebastian George Perpelea & Dumitru Beldiman - 118-125 Social Assistance Expenditure Efficiency in Romania
by Nicolae Tudose - 126-131 Banking governance: New Approaches
by Victor Mihaita Duta - 132-140 Management of Risks to Financial Stability from the Perspective of a Central Bank
by Gabriela Latea - 141-149 European Funds: The Involvement of Banks, Where To?
by Dumitru Beldiman & Sebastian George Perpelea - 150-158 The Fiscal Policy in the EU States from Central and Eastern Europe
by Liliana Anamaria Draghici
December 2015, Volume 1, Issue 17
- 9-19 Shades and Penumbra of Globalization
by Mircea PERPELEA & Marin OPRITESCU & Sebastian PERPELEA - 20-24 Prudential Indicators of Romanian Commercial Banks
by Alexandru NEGREA & Alexandra DANILA - 25-37 Social Assistance Models in the European Union
by Gheorghe MATEI & Nicolae TUDOSE - 38-44 Exploring Corporate Social Responsibility in Foreign Bank Branches from Romania: An Empirical Analysis of Public Disclosure of Financial Statements and Banking Audit Reports
by Attila TAMAS-SZORA & Adela SOCOL - 45-57 Study on the Credit Risk in Societies with Agricultural Profile
by Jenica POPESCU & Nela Loredana MEITA - 58-67 Empirical Study on the Relationship between Efficiency, Capital and Risk into the Banking System of Romania
by Alina MANTA & Roxana BADÎRCEA - 68-73 Mathematical and Economic Modeling of the Results of Correlation Between Indicators of Profitability and Asset Management
by Silviu CÂRSTINA & Marian SIMINICA - 74-79 Approaching Performance Audit in Public Institutions
by Nicoleta Mihaela FLOREA & Stelian SELISTEANU & Radu BUZIERNESCU - 80-86 Forms of Manifestation regarding Tax Evasion: New Approaches
by Alia Gabriela DUTA - 87-96 Comparative Study of the Analytical Methods of the Reliability of Economic Operator used by the Main Commercial Banks
by Claudia MITITELU & Andrei-Nicolae MITITELU & Constantin DURAC - 97-102 Tendencies in the Financial Implementation of Structural and Cohesion Funds in the EU
by Popescu Anca SIMINA & Nicoleta Mihaela FLOREA - 103-112 The Greek Crisis and the Generalization of Euro in European Union
by Octavian PERPELEA & Tatiana PAUN - 113-121 Algorithmic Trading at Bucharest Stock Exchange
by Adrian Victor SANDITA - 122-132 The Diversity of Financial Instruments Traded on the Stock Exchange
by Iulia-Oana BELCIC-STEFAN - 133-141 Econometric Models for the Analysis of Tax Revenues
by Oana-Valentina CERCELARU - 142-150 The Financial Performance of the Companies Approached from the Perspective of Commercial Banks
by Mirela SICHIGEA (GANEA) - 151-157 Controversies regarding evolution of Tax Systems
by Alia Gabriela DUTA - 158-166 Monetary Policy under the Border between Price Stability and Financial Stability
by Irina-Raluca BADEA - 167-175 Romania`s Eurozone Entry and the Fulfillment of the Institutional Criterion
by Andreea Maria CIOBANU - 176-185 Coordinates of the Absorption Capacity of Structural and Cohesion Funds at EU Level
by Anca Simina POPESCU & Inocentiu Alexandru FLOREA - 186-194 Controversies over the Value Creation Process at the Level of Enterprises
by Adrian-Florin BUDICA-IACOB & Bogdan-Andrei BUDICA - 195-200 Design and Implementation of a Management Control System
by Anca Antoaneta VARZARU
December 2014, Volume 1, Issue 16
- 9-15 Whither the Euro: Challenges of the Crisis
by Marin OPRITESCU & Mircea PERPELEA & Octavian PERPELEA - 16-35 The Eastern Partnership
by Tadeusz KOLODZIEJ - 36-45 Financial Decentralization Reflected in the Revenues and Expenses of Local Budgets in Romania
by Gheorghe MATEI & Olivia MANOLE - 46-49 Firm Financial Policy
by Alexandru NEGREA & Alexandra IONESCU - 50-59 Globalization: New Approaches
by Mircea PERPELEA & Alia DUTA & Sebastian PERPELEA - 60-69 The Impact of Creative Accounting of Frozen Assets on the Company Performance
by Victoria FIRESCU & Jenica POPESCU - 70-81 The effect of financing hospital health care providers through updated Diagnosis Related Groups. Case studies: the municipal hospitals in Romania
by Emil OLTEANU & Attila TAMAS SZORA & Iulian Bogdan DOBRA - 82-89 Treasury Operations Mechanism in Romania
by Dumitru Laurentiu ANDREI & Petre BREZEANU - 90-102 Risk Factors in Euro Adoption by Romania
by Roxana Maria BADÎRCEA & Alina Georgiana MANTA - 103-113 Public Expenditure Evolution in EU4 Countries
by Daniela-Georgeta BEJU & Maria-Lenuta CIUPAC-ULICI - 114-118 Corporate Governance in the Central and Eastern Europe Countries - Features and Developments
by Laura VASILESCU - 119-123 VAT Cashing System: between Myth and Reality
by Roxana ISPAS & Lavinia Maria NETOIU & Nela Loredana MEITA - 124-130 The Evaluation of the Equilibrum Exchange Rate based on the Purchase Power, for Romania’s Case
by Lucian Claudiu ANGHEL & Florina PÎNZARU & Laurentiu-Mihai TREAPAT - 131-140 Comparative Study on the Banking Performances at BCR ERSTE BANK, BRD – GSG and Raiffeisen Bank
by Claudia MITITELU & Mihaita DUTA - 141-150 The absorption of european funds for environmental protection during the period 2007-2013
by Anca Simina POPESCU & Alina Georgiana HOLT - 151-157 On Financial Performance and Capital Structure of Romanian Companies
by Viorela Ligia VAIDEAN - 158-163 The Evolution of Social Protection Expediture in The European Union
by Nicolae TUDOSE - 164-176 Structural Modifications Of The Employment In Romania
by Cristian Radu COJOCARU & Cristina BOROVINA - 177-181 Does Emigration Affects Wages? A Case Study on Romania
by Costin-Alexandru Ciupureanu - 182-189 The Dominant Power Abuse and State Aid in European Union
by Cosmin FLOREANU - 190-197 European Funds – Instrument for Economic Stability/Growth
by Anca Simina POPESCU - 198-204 Evolution of tax revenue in Romania
by Nicoleta Mihaela Florea & Marcel Dracea & Radu Buziernescu - 205-212 The evolution of public expenditure in Romania during the global economic crisis
by Inocentiu Alexandru Florea
December 2013, Volume 1, Issue 15
- 9-11 Professor Constantin Ionete: “A Titan of Economic Sciences”
by Dumitru Constantinescu & Marin Opritescu - 12-21 Romanian SMEs Financing Options: An Empirical Analysis
by Ioan E. Nistor & Daniela-Rodica Popescu - 22-30 Current Imbalances and Main Adjustment Mechanisms in the European Monetary Union
by Gheorghe Matei & Luiza Apostol - 31-39 Practices of Dividend Policies Adopted by Energy and Utilities Companies Listed on the BSE
by Dorel Berceanu & Nicolae Sichigea - 40-47 The Integration in the Economic and Monetary Union: when?
by Marin Opritescu & Ramona Andreea Teica & Alia Gabriela Duta - 48-59 Testing the Granger Causality between the Dynamics of the Romanian Mutual Fund Market and the Economy
by Ioan Alin Nistor & Maria Ciupac-Ulici & Ioana Radu - 60-65 Harmonization of VAT in the European Union. Achievements and Perspectives
by Marcel Dracea & Radu Buziernescu & Nicoleta Mihaela Florea - 66-71 Priorities in Investment Decisions for Rural Development in Romania
by Ana Popa & Laura Vasilescu - 72-78 Considerations about Methods of Rescue for Financial Institutions: the Case of Cyprus
by Jenica Popescu & Victoria Firescu - 79-86 Financing with Receivables: Factoring, Securitization and Collateral
by Ioana Benea & Florin Duma - 87-95 Is Romania Integrating in a Monetary Heaven?
by Mircea Perpelea & Alia Gabriela Duta & Sebastian Perpelea - 96-103 Case – study Concerning the Effects of the Macroeconomic Variables on the Loan Portfolios Quality of the Romanian Banking Sector Using the VAR Model and Least Squares Method
by Alina Georgiana Manta & Roxana Maria Badîrcea - 104-110 The Impact of Remittances on the International Migration and Economic Development
by Ramona Pîrvu & Gheorghe Axinte - 111-117 Impact of Financial Crisis on Lending in Romania. Analysis for the Period 2007-2012
by Lavinia Maria Netoiu & Titu Netoiu & Nela Loredana Meita - 118-122 Automatic Fiscal Stabilizers
by Narcis Eduard Mitu - 123-129 Atypical Fiscal States: Fiscal Inactivity State and the Fiscal Body Ex-Officio Cancellation of the Registration Code for VAT Purposes
by Raducu Emil Buziernescu & Stelian Selisteanu & Nicoleta Mihaela Florea - 130-136 The Evolution of the Non-performing Loans within the Romanian Banking System
by Lavinia Maria Netoiu & Titu Netoiu & Nela Loredana Meita - 137-150 Is the Economic and Monetary Union of the European Union an Optimum Currency Area?
by Mircea Perpelea & Victor Duta & Octavian Perpelea - 151-158 Testing the Efficient Markets Hypothesis on the Romanian Capital Market
by Drags Mînjina & Petre Brezeanu - 159-174 Global Quality Management in Adjusting Prices
by Bunta Levente Zoltán - 175-180 Structure and Evolution of EU Budget Revenue
by Nicoleta Mihaela Florea & Mirela Ganea & Stelian Selisteanu - 181-192 Financial Synergy in Mergers and Acquisitions in Saudi Arabia
by Basmah Al Qudaiby & Muhammad Rahatullah Khan - 193-205 Unwinding RON carry-trade or RON speculative attack?
by Silviu Eduard Dinca - 206-213 Initial Public Offering – Finance Source of Stock Exchanges
by Sorin Claudiu Radu
December 2012, Volume 1, Issue 14
- 7-19 Usefulness of cash-flow statements for Romanian small and medium enterprises
by Horia CRISTEA & Nicoleta FARCANE & Andra POP - 20-26 Risk management for impairment of tangible economic entity
by Lucian BUSE & Mirela GANEA & Silviu-Valentin CÂRSTINA - 27-36 Financial contagion on the Romanian stock market
by Ioan TRENCA & Eva DEZSI - 37-44 Monetary policy where to?
by Marin OPRITESCU & Ramona Andreea TEICA & Mihaita DUTA - 45-51 Stock markets liberalization affects volatility?
by Ioan Alin NISTOR & Maria-Lenuta CIUPAC-ULICI & Mircea-Cristian GHERMAN - 52-62 The economic effects of investment financing decision
by Nicolae SICHIGEA & Dorel BERCEANU & Dan Florentin SICHIGEA & Adrian BUDICA - 63-68 Sources of funding for the public market in Romania
by Gheorghe PÎRVU & Stefan Marcel SIMA - 69-73 The analysis of the penetration degree and density of private health insurance in Romania
by Gheorghe MATEI & Bianca MIHART - 74-78 Considerations concerning the influence of foreign trade activities on getting financial and accounting information
by Magdalena MIHAI & Cristian DRAGAN & Valeriu BRABETE & Adriana IOTA - 79-84 Investment decisions in Romania between free enterprise and planning
by Ana POPA & Laura VASILESCU - 85-90 Evaluating the liquidity determinats in the central and eastern European banking system
by Ioan TRENCA & Nicolae PETRIA & Simona MUTU & Emilia COROVEI - 91-94 Seed capital – limits and opportunities for financing the start-ups
by Laura VASILESCU & Ana POPA - 95-98 Financial stability - major objective of the central banks
by Jenica POPESCU & Mircea Gabriel CIOLPAN