Content
December 2008, Volume 1, Issue 8
- 132-137 Can oil reach $200 a barrel?
by David BONNER - 138-141 Financial control - part of management and financial administration
by Gabriel POPEANGA - 142-149 Central bank independence, inflation and economic performance
by Daniela Georgeta BEJU - 150-155 Considerations regarding the tax regime of the sponsorship and patronage operations
by Radu BUZIERNESCU & Roxana NANU - 156-161 Competitiveness of the European Union under the structural funds framework and the Lisbon Agenda
by Oana GHERGHINESCU & Andreas KOLODZIEJAK & Gheorghe GHERGHINESCU - 162-165 The justifying documents - the accounting registration base of the works and services executed by third parties
by Marin CIUMAG & Anca CIUMAG - 166-174 Restructuring of the Romanian Railways. The impact on the financial structure
by Anduena FIRTAT
May 2008, Volume 1, Issue 7
- 9-20 The beginnings and dissemination of the crisis of mortgage credits in the USA. Risks in the evolution of Romanian economy
by Constantin IONETE - 21-30 Banking credit market in Romania: Basel II impact
by Marin OPRITESCU & Alina Iacobescu - 31-34 Financial information transparency and publicity
by Horia CRISTEA - 35-39 Banking scientific research in Romania - between necessity and reality
by Ioan NISTOR & Grigore LUPULESCU - 40-44 The European investment fund and the evidence of the undertakings for collective investment in transferable securities (UCITS) marker
by Ioan TRENCA & Cristina CURUTIU - 45-51 Considerations of pensions reform
by Gheorghe MATEI & Marcel DRACEA - 52-59 Scenarios of grounding the financial structure of the enterprise
by Nicolae SICHIGEA & Dan Florentin SICHIGEA - 60-66 Considerations on potential determinants of structural and cohesion funds absorption
by Oana GHERGHINESCU & Andreas KOLODZIEJAK & Gheorghe GHERGHINESCU - 67-73 The bonds financing - an financing option for the firm
by Dorel BERCEANU & Ion TOMITA - 74-80 International investments prospects for the period 2007-2009. Possible effects on the Romanian economy
by Ana POPA & Laura GIURCA VASILESCU - 81-83 Points of view regarding the effects of the domination of foreign currency in the Romanian Banking System
by Dan Sergiu BOGOI & Gheorghe BIRAU - 84-88 Reliability margin-sine-die condition for the performance of insurance companies
by Florin Ion COANA & Rodica Viorica COANA & Iudit FODOR - 89-95 The taxing of the result, between the conformity and convergence of the accountancy
by Danut CHILAREZ & Mircea PERPELEA - 96-104 The impact of banks' financial statements publication on their market capitalization (The B.S.E. Case)
by Ioan TRENCA & Adrian ZOICAS-IENCIU - 105-110 Banking products and services according to clients' requests
by Jenica POPESCU & Sabin RIZESCU - 111-117 Considerations regarding the role and the importance of the financial stability in the context of th european banking integration
by Cristi SPULBAR - 118-126 Credit risk, a macroeconomic model application for Romania
by Ioan TRENCA & Annamaria BENYOVSZKI - 127-132 Are able fiscal advantages to promote the interest for insurance? - The situation of Romania versus the international one
by Mirela CRISTEA & Raluca DRACEA & Anca BANDOI - 133-138 Tax competition and brain drain in the European Union members
by Raluca DRACEA & Cristian STANCIU - 139-145 The choice of exchange regimes by transition countries
by Roxana NANU & Radu BUZIERNESCU - 146-153 Nonverbal language - the weapon of the insurance agent
by Narcis Eduard MITU - 154-158 Creating the fiscal administration more efficient by improving the informatic system
by Elena GLODEANU & Cristinel GLODEANU - 159-163 Receipts and expenditures budget of the insurance company - basis instrument in achieving financial balance
by Florin Ion COANA & Rodica Viorica COANA & Iudit FODOR - 164-171 Banking products and services market: the globalization challenges
by Claudia MITITELU & Stefan MITITELU - 172-179 The strategic adaptation of the railway transporting enterprises
by Anduena FIRTAT & Mircea CIOLPAN - 180-188 Influence of adjacent insured risks upon the management of insurance companies
by Rodica Viorica COANA & Florin Ion COANA & Iudit FODOR - 189-194 Carusel fraud - method for tax dodging in the area of the VAT on intra-community level
by Madalin CINCA - 195-202 Globalization and european integration exigencies - new challenges for Romanian banks
by Claudia MITITELU & Stefan MITITELU - 203-210 Correlation between the use of derivatives products and the implementation of the monetary policy
by Mircea CIOLPAN & Anduena FIRTAT