Content
May 2024, Volume 16, Issue 9
- 11-22 The Impact of Financial Leverage on the Pricing Risk in the Egyptian Stock Market
by Mustafa Hussein Abd-Allah & Wael Ibrahim Abdelrahim Hamimy - 23-37 The Possible Outcomes of E-Invoicing on Tax Collection and Impact on Future of Romanian Tax System
by Fuad Bahramov - 38-51 The Skills of the Generation Z Accounting Professional
by Galina Bădicu & Svetlana Mihaila & Mihaela Bordian - 52-67 Assessment of Public Debt Drivers in the Balkans
by Kevin Bica & Erinda Imeraj - 68-80 Identifying the Inter-Relationships Between the Company’s Strategic Sectors
by Dragoş Bîlteanu & Florentina Olivia Bălu & Irina Stancu - 81-95 European Financial Markets Exposed to Exogenous Shocks: Communication Dynamics Among Investors and Tech Models to Detect Financial Contagion
by Cecilia Ciocîrlan & Andreea Popescu-Crețulescu & Andreea Mădălina Stancea - 96-110 The Analysis of the Impact of Digital Product Innovation and Human Resources Specialists on Intention to Use Artificial Intelligence in Financial Banking System
by Nicoleta Valentina Florea & Gabriel Croitoru & Georgiana Radu (Cârstea) & Daria Florea - 111-118 The Impact of Improvement the Degree of Digitization of Financial and Business Activities on Socio-Economic Structures in Romania
by Oana Ramona Glont - 119-175 Analyzing Financial Markets Efficiency: Insights from a Bibliometric and Content Review
by Paul Handro & Bogdan Dima - 176-193 Qualitative Analysis on the Interference and Causality between Accounting and Auditing for Romanian Companies “Top Traded” Listed at the Bucharest Stock Exchange
by Ramona-Ionela Haraguș & Attila Szora Tamaș - 194-204 Evaluating the Interplay between ESG Practices and Corporate Financial Performance in America: The Industrial Sector
by Loredana-Georgia Nițu (Ivan) - 205-217 Financial Reporting and Audit Quality. A Bibliometric Analysis
by Andreea Georgiana Pascaru & Camelia Daniela Hațegan - 218-235 Developments and Challenges Regarding the European Capital Markets Integration Project
by Beatrice Radu - 236-248 Unraveling the Nexus between Digital Banking Transactions and Bank Profitability: Insights From Turkey’s Deposit Banks
by Bekir Zengin
December 2023, Volume 15-Special-December, Issue 8
- 13-28 A new challenge in the risk management: sustainability risks
by Corina Graziella Bâtcă-Dumitru & Cleopatra Șendroiu & Lavinia Denisia Cuc - 29-45 Identifying and quantifying the influence of the determining factors of credit institutions' performance through econometric research
by Ana-Maria Bores - 46-66 Non-financial reporting and digitalization, key factors in stakeholder engagement
by Teodora Cucerzan (Matieș) - 67-80 Non-financial information reporting: literature review in a bibliometric examination
by Adelina Fometescu & Camelia-Daniela Hațegan - 81-100 Management’s perception of the role of accounting information and the accounting professional in designing the sustainable business model
by Elena Hlaciuc - 101-113 Optimizing the financial education of adults in Romania
by Vanesa Luisa Sidor & Daniel Manațe - 114-131 Tax optimization in Romania from the point of view of accounting professionals in Suceava county
by Marian Socoliuc - 132-154 The impact of digitalization on the accounting profession in Romania - a quantitative research
by Mihaela Ionela Socoliuc - 155-176 The impact of macroeconomic indicators of economic growth: an empirical analysis of Central and Eastern European countries
by Alin Vasile Străchinaru - 177-191 Development and validation of a managerial model to understand taxpayers’ attitudes and perceptions towards tax compliance
by Silviu Gabriel Szentesi & Vanina Adoriana Trifan & Mioara Florina Pantea & Camelia Daniela Hațegan & Maria Sinaci - 192-204 Improving the quality of financial-accounting information by strengthening the financial autonomy of universities
by Liliana Țurcanu & Lilia Grigoroi & Svetlana Mihaila - 205-214 Reflection of employee job performance through a bibliometric analysis
by Anuradha Iddagoda & Hiranya Dissanayake & Hasantha Dassanaike
November 2023, Volume 15, Issue 8
- 13-28 The evaluation of the e-payment methods according to user's perspective
by Djamila Toumi Amara & Mustapha Aimene Saidi - 29-41 Determinants for life insurances, a view on notoriety
by Cătălin Câmpeanu - 42-61 The impact of crisis situations on the financial indicators of Romanian companies
by Dorotheea Beatrice Ruxandra Chiosea & Camelia-Daniela Hațegan - 62-85 Employability skills for professional accountants in the midstof Industry 4.0 - a literature review
by Andreea Cordos (Labaditis) & Adriana Tiron-Tudor - 86-105 Intangible assets and resource allocation: insights from European companies
by Mihaela Curea - 106-118 The performance measurement of water and sewerage operators in romania through the key performance index
by Kinga-Erzsébet Fülöp & Árpád-Zoltán Fülöp - 119-131 Economic Growth or Regress – Scenarios and Bibliometric Analysis on Single Taxation vs. Progressive Taxation
by Ramona-Ionela Haraguș & Attila Szora Tamaș & Gabriel Szora - 132-143 Analysis of the Trade Balance in the 27 Eu Countries
by Lavinia Maria Nețoiu & Titu Nețoiu - 144-158 Navigating the ESG Landscape and Its Impact in the Business and Investment Sector
by Andreea Larisa Olteanu (Burcă) & Alina Elena Ionașcu - 159-167 The Effects of Digitization on the Instructive - Educational Act in the School Organization
by Constanța Popescu & Georgiana – Tatiana Bondac - 168-180 Analysis of Romania's Foreign Trade with Main Partner - Financial Views on the Agri-Food Sector
by Marilena Potârniche (Berheci) & Ionut Laurentiu Petre & Florentina Marin (Pascu) - 181-197 The Economic-Social Influences of the Consumer Price Index: The Case of Post-Communist Romania
by Teodora Maria Suciu & Mihaela Ștefan-Hint & Remus Ionuț Ilieș - 198-214 Integration of Artificial Intelligence in the Risk Management Process: An Analysis of Opportunities and Challenges
by Georgiana-Ioana Țîrcovnicu & Camelia-Daniela Hațegan - 215-222 The Impact of Corporate Sustainability Reporting Directive on Financial Reporting
by Laurențiu Paul Barangă & Elena-Ioana Ifrim
May 2023, Volume 14, Issue 8
- 11-23 Sustainable development goals and the triangle of ESG investments
by Alexandra Maria Bele & Claudia Diana Sabău-Popa & Oana Maria Secară - 24-36 The value of public audit - theories and empirical evidence
by Marius Cîmpan & Cătălin-Paul Păcuraru-Ionescu & Sorin Nicolae Borlea - 37-53 Bibliometric analysis on the impact of COVID-19 on corporate governance
by Hiranya Dissanayake & Hareendra Dissabandara & Wasantha Perera & Roshan Ajward - 54-67 Crypto and digital currencies - will governments allow these forms of new payments?
by Ciel Man - 68-83 The impact of liquidity management on profitability: empirical study on retail companies in Romania
by Lucian Gabriel Maxim - 84-97 Monetary policy measures and strategies in the context of the adoption of the euro currency
by Ioana Manuela Mîndrican - 98-109 Improving public sector performance: the power of implementing corporate governance
by Daniela Corina Oprea (Bîrlă) & Cristina-Elena Voicu & Komalpreet Kaur - 110-119 Towards the improvement of financial performance of the insurance sector in Albania
by Jona Puci & Albana Demi & Bleona Seferaj - 120-142 Fraud related to EU funds. The case of Romania
by Florin Alexandru Roman & Monica Violeta Achim & Robert W. McGee - 143-164 An exploratory case study: Romania’s digital innovation opportunities due to rise of digital currencies
by Cristina Sbîrneciu & Nicoleta-Valentina Florea - 165-180 Financial education among adults in Romania
by Vanesa Luisa Sidor & Daniel Manațe - 181-191 Application of ARDL modelling in global structural shocks and their dynamic impact on FDI
by Adelina-Andreea Siriteanu & Erika-Maria Doacă - 192-203 Turning employees into brand ambassadors: a qualitative study of four companies in Durres and Tirana
by Ilindena Sotirofski - 205-212 Comparative analysis of financial results and share prices of companies listed on the Bucharest Stock Exchange in 2022
by Marian Simică
June 2023, Volume 14-Special-June, Issue 8
- 13-22 Elimination of tax complexity issues through financial literacy
by Fuad Bahramov - 23-44 Corporate social responsability and value creation in Romania
by Olivian Bîltac - 45-56 The impact of the Altman score on the energy sector companies
by Maria-Lenuţa Ciupac-Ulici & Daniela-Georgeta Beju & Ioan-Alin Nistor & Flaviu Pișcoran - 57-71 Bibliometric analysis on the Covid-19 impact on corporate sustainability
by Hiranya Dissanayake & D.B.P.H. Dissabandara & K.L.W. Perera & A.R. Ajward - 72-82 Analysis of the impact of financial balance indicators on the stock market performance of companies listed on the Bucharest Stock Exchange
by Ioan-Alexandru Dumitrescu & Alin-Ionuț Dorobanțu - 83-94 The contribution of the EU FDIs to the reduction of Romania's manufacturing production CO2 emissions: higher exports and GDP growth
by Vlad Epurescu - 95-116 Internal Determinants Of Profitability In Public Algerian Banks
by Ameur Imane & Zerouti Messaoud & Bouchetara Mehdi - 117-128 From corporate social responsability to environmental, social, governance investing: non-financial reporting - benefits and legislative implications
by Komalpreet Kaur & Daniela Corina Oprea (Bîrlă) & Raluca Simina Bilți & Vanina Adoriana Trifan - 129-150 Financial literacy and employment: an overview and bibliometric analysis
by Ancuța Lucaci & Carmen Năstase - 151-165 The environmental and financial performances on the energy sector. Case study in North America
by Loredana-Georgia Nițu (Ivan) - 166-180 K-means and agglomerative hierarchical clustering analysis of esg scores, yearly variations, and stock returns: insights from the energy sector in Europe and the United States
by Ștefan Rusu & Marcel Ioan Boloș & Marius Leordeanu - 181-192 Banking institutions and aggregated indicators for financial stability on the Romanian banking market
by Roxana Daliana Schiop & Mihaiela Joly Mircea - 193-201 Impact of sustainable development on smart cities
by Ioana Marinela (Gavriluță) Turtă - 203-210 The implications of circular economy development at European level
by Laurențiu Paul Barangă & Elena-Ioana Țanea
November 2022, Volume 13, Issue 7
- 11-28 Research on the use of management accounting system in early detection
by Alexandra Delia Bugnariu & Cristina Didea (Catrase) & Ion Cozma & Pamela Patrizia Podhora - 29-36 Audit firm rotation and audit quality: a literature review
by Mariana-Cristina Bulucea - 37-50 Expectations regarding payments to beneficiaries of the Administrative Capacity Operational Program (ACOP)
by Raluca Calin & Andreea Antoneac (Lungu) & George Marian Calin & Valentin Claudiu Constantin & Silviu Adrian Iana - 51-62 Digitalisation-‘The Invisible Hand’ of Digital economy
by Edi-Cristian Dumitra & Iulia Maria Gandea - 63-70 The behaviour of the consumer of financial services in the post-pandemic period
by Vladimir-Aurelian Enachescu - 71-86 Effects of some insurance variables on sustainable economic growth. Evidence from EU using GMM panel data analysis
by Bogdan-Narcis Firtescu & Mihaela Onofrei & Eduard Mihai - 87-103 Sustainability of private administrated pension funds in Romania
by Roxana Liliana Ionescu & Ileana-Sorina Rakos & Teodora Cucerzan - 104-119 Institutional communication in the digital age
by George-Alexandru Istrate & Radu Alexandru Budu - 120-131 Economic development and environmental degradation: A panel ARDL/PMG model for EU-27 countries
by Ionut Jianu - 132-145 Can progressive taxation contribute to human development?
by Marcus-Radu Man & Sorana Vatavu - 146-154 The study of the economic interdependencies between countries in the post pandemic economy-the challenges of maintaining regional competitiveness
by Marta Stoian - 155-164 Comparative analysis of the National Rural Development Programme 2014-2020 between Romania and Poland
by Gabriela Dalila Stoica & Maria Cristina Sterie & Andreea Daniela Giuca & Carmen-Elena Dobrota - 165-173 Acceptance of new open data technologies in public services
by Ioana-Marinela (Gavriluta) Turta - 174-181 Introducing the ESG reporting - benefits and challenges
by Laurentiu Paul Baranga & Elena-Ioana Tanea
May 2022, Volume 12, Issue 7
- 11-24 Intellectual capital and financial performance measured by CAMELS perspective
by Orlin Moria Adyaningrum & Yanuar Nanok Soenarno - 25-37 Trends in corporate governance practices at the level of companies listed on the Bucharest Stock Exchange
by Ana Maria Alexie - 38-51 Efficiency of financial indicators of the Romanian state budget, an objective of economic security during the epidemiological crisis
by Valetin Marian Antohi & Costinela Fortea & Monica Laura Zlati & Romeo-Victor Ionescu & Cristian Mirica - 52-64 Evidence and operating conditions in the insurance contract using the digital format in communication
by Decebal Manole Bogdan - 65-76 Impact of financial indicators on the VEKTOR score by categories of listed companies
by Cosmin-Ionuț Boșcu & Maria Francesca Poll & Raluca-Andreea Popescu-Predulescu - 77-88 The contribution of accounting to performance management: literature trends and research potential
by Ion Cozma & Adrian Tirau - 89-104 Education and labour market performance in Romania. An empirical analysis of the urban-rural gap
by Mirela Cristea & Grațiela Georgiana Noja - 105-133 Contagion effects on financial markets risk
by Anca Ionășcuți & Bogdan Dima - 134-142 Principles of communication used in public administration
by George-Alexandru Istrate - 143-163 Impact of risk management on sustainable farming business
by Andrei-Cristian Matei & Mihaela Onofrei - 164-184 The impact of the VAT gap on the degree of taxation of an economy - analysis with panel data
by Victor Ogneru & Stelian Stancu - 185-200 Impact of the pandemic on the HoReCa industry in 2020
by Adelina-Andreea Siriteanu & Erika-Maria Doacă - 201-215 Dynamics of insolvencies/registrations of entities in correlation with wage costs
by Mihail Alin Stanciu - 216-229 The influence of Smart City development in Romania on the financial management of local authorities
by Ioana Marinela (Gavriluță) Turtă
December 2021, Volume 11, Issue 6
- 9-23 Analysis of the macroeconomic factors influence on the performance of financial markets
by Andreea Antoneac (Lungu) & Octavian Iordan - 24-32 The impact of digital accounting on the quality and transparency of information presented by organizations using ERP systems. Opportunities for Cloud ERP Vs. On-premise ERP
by Laura-Eugenia-Lavinia Barna - 33-45 The role of professional accounting reasoning in ensuring standards of preparation and certification of financial statements
by Mihaela-Raluca Boharu (Mircea) & Cristina-Elena Florea (Poenaru) - 46-56 A quasi-cyclical regressive model of the pandemic impact on Romanian e-market
by Bogdan Ion Boldea & Costin Radu Boldea - 57-77 Virtual currencies, fintech, blockchain, an ever-changing economic world. The social impact of financial technologies
by Daniel Cuibari - 78-92 Innovation and performance: the impact of research and development research on the economic and stock market performance of European companies
by Alin-Ionuț Dorobanțu & Ioan-Alexandru Dumitrescu - 93-108 Analysis of the accession of European funds for the environmental policy from 2014
by Răzvan-Aurelian Munteanu - 109-121 Implementation of judicial accounting expertise in the digital context
by Andreea-Cristina Savu & Leliana Diana Bolcu - 122-130 The impact of National Rural Development Program on investments in the agricultural sector
by Maria Cristina Sterie & Gabriela Dalila Stoica & Andreea Daniela Giucă & Marian Motofeanu - 131-140 Differences and benefits in using a financial consolidation software: CLOUD, LOCAL, SAAS OR PAAS
by Raluca Andreea Stoica & Alina Gabriela Mareș - 141-155 The role of the chartered accountant in diminishing the effects of cyber fraud
by Elena-Simona Tache (Buzățoiu) & Amalia-Magdalena Dănăilă (Calafeteanu) & Monica-Mihaela Drăgan (Radu) - 156-178 Macroprudential tools, credit growth and financial stability: Lessons from Central and Eastern European countries
by Cristina-Georgiana Zeldea & Mihai Nițoi - 179-187 Management and reduction of fraud by analysis of the insurer’s internal and external vulnerabilities and contributions
by Mihai Ovidiu Vădean
May 2021, Volume 10, Issue 6
- 9-32 Interconnections between local finances and regional development: a study case of Romania
by Mihaela Onofrei & Lenuta Cojocariu & Florin Oprea - 33-47 The current framework of financial education in Romania in the context of the informational economy
by Horia Ioan Tulai & Codruța Maria Făt & Daniela Georgeta - 48-57 The financial crisis: a history of the economic schools of thought
by Sabina Andreea Cazan - 58-76 The impact of social responsibility on financial performance: evidence from Romanian companies
by Nour Lakiss - 77-93 The impact of economic growth on the financial and capital market
by Claudiu-Florentin Lăceanu & Liviu-Valentin Vlăducu & Ovidiu-Gheorghe Petru & Marius-Silviu Culea - 94-101 The impact of public funding on the development of Romanian agriculture after EU integration
by Andrei – Cristian Matei & Mihaela Onofrei & Ioana Gavriluta & Domnita Gritco & Lenuța Cojocariu - 102-112 Human capital, below the limits of national accounting standards
by Diana-Nicoleta Nita - 113-126 FINTECH revolution: are we prepared?
by Adina Teodora Paşa & Nicoleta Onofrei & Elena Mădălina Gherghina - 127-135 Implications of adopting CLOUD accounting on the quality of information provided by the accounting model
by Mihail Alin Stanciu - 136-151 The influence of financing on results in the pre-university education system
by Gabriella Szekeres (Vancza) & Alina Căldăraru - 152-163 Application of asset tokenization, smart contracts and decentralized finance in agriculture
by Mahmoud Tarhini
November 2020, Volume 9, Issue 5
- 3-9 Financial stability indicator for non-banking markets
by Marius Cristian Acatrinei - 10-23 Anomaly detection in stock market indices with neural networks
by Lucian Liviu Albu & Radu Lupu - 24-34 Fiscal-budgetary responsibility and implications on the European budgetary framework in the context of the COVID-19 crisis
by Mihaela Onofrei & Anca Florentina Vatamanu & Elena Cigu & Florin Oprea - 35-48 Financial performance of European companies involved in environmental activities of corporate social responsibility
by Petru Ștefea & Grațiela Georgiana Noja & Irina-Maria Grecu - 49-57 Spillover index for European business cycle
by Marius Cristian Acatrinei - 58-71 The impact of COVID – 19 on the stocks’ yield from the pharmaceutical sector
by Meral Kagitci - 72-85 Are happier taxpayers willing to pay higher taxes?
by Raluca Tudorică & Sorana Vătavu - 86-100 COVID-19 crisis as a systematic risk: an empirical study in the egyptian stock market
by Mustafa Hussein Abd-Alla - 101-123 Impact of COVID-19 on the Romanian capital market: An assessment of BET index and shares BRD, SNP, TLV, FP & SNP
by Cătălina Camelia Joldeș - 124-133 Sovereign debt crisis management by the European Central Bank
by Ioana Manuela Mîndrican - 134-146 The banking system of emerging economies in Asia against the background of COVID-19. Case study – the ASEAN area
by Ionela Voinea - 147-162 Is price the main motivation for buying general insurances in Romania? Comparative study 2014 – 2019
by Daniel Mihai Pantazi
June 2020, Volume 8, Issue 5
- 5-12 Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare (8)
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 13-34 Solvency II între IFRS 4 şi IFRS 17
by Costin Andrei ISTRATE - 35-60 Analiza comparativă a normalității distribuțiilor randamentelor indicilor BET și S&P500
by Roxana Ioan - 61-95 Rolul caracteristicilor individuale în prezicerea comportamentelor de cross-selling și up-selling în industria asigurărilor
by Cristian Dorel Lăcătuș - 96-112 Modelarea riscurilor catastrofale – expunere rezidenţială şi nerezidenţială
by Nicoleta Radu & Laura Elly Naghi - 113-128 Analiza relației dintre veniturile fiscale și bazele de impunere în cazul României
by Victor Ogneru & Iulian Panait - 129-153 Analiza corelaţiei PIB – Rating de țară
by Ana Maria (Mărășescu) Necula & Andrei Tudor Stancu - 154-166 Studiu privind Programarea cu Obiectiv Multiplu pentru optimizarea gestiunii portofoliului
by Mircea BAHNA - 167-171 Semnificația pensiilor ocupaționale în consolidarea sistemului de pensii private din România
by Dragoș Alexandru Hașegan - 172-178 Coordonate ale unui model euristic de generare a deciziei de investiţii
by Iulian Stan
June 2019, Volume 7, Issue 4
- 136-142 Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare (7)
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 143-154 ASIGURĂRI “VITALITY” – Argument pentru implementarea în România a gamei de produse de asigurări VITALITY
by Cristian Roşu & Adrian Marin & Ion Alexandru Stancu & Alexandra Guzun - 155-169 Despre valoarea reală a cunoștințelor, capitalul intelectual și reziliența în noua economie a cunoașterii
by Călin Mihai Rangu - 170-186 Finanțele comportamentale: în unele circumstanțe piețele financiare se pot dovedi ineficiente informațional și datorită influenței factorilor psihologici. Controverse, studii, aspecte statistice
by Rodica Voloh - 187-196 Criminalitatea informatică – provocări și evoluții
by Mircea Constantin Șcheau - 197-215 Studiu privind corelația dintre evoluția pieței de capital și creșterea economică
by Bîzderea Claudia Gabriela - 216-232 Optimizarea portofoliului de actiuni pe piața de capital
by Căpățînă Adrian-Nicolae - 233-236 O nouă teorie, adaptată la piețele financiare de astăzi – Teoria piețelor adaptive
by Adrian Mitroi - 237-244 Evoluții în protecția consumatorului financiar
by Călin M. Rangu - 245-249 Managementul portofoliului individual al investitorului în condițiile specifice piețelor românești
by Dorin Alexandru Badea
June 2019, Volume 6, Issue 4
- 4-9 Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare (6)
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 10-30 Asigurarea riscului cibernetic – o mare provocare cu care se confruntă economiile moderne
by Prof.univ.dr. Leonardo Badea & Lect.univ.dr. Călin Mihai Rangu - 31-49 Transparenţa informaţiilor publicate de băncile comerciale din România privind guvernanţa corporativă şi implicaţiile asupra auditului financiar
by Andreea Claudia Crucean - 50-67 Proiecții privind sustenabilitatea sistemului de pensii în România
by Ion Stancu & Dragoş Haşeganu & Alexandra Darmaz-Guzun - 68-82 Evoluţia internaţională a incidenţei riscurilor catastrofale
by Nicoleta Radu & Laura Elly Naghi - 83-93 The differences of corporate governance influence on state-owned enterprise and non-state-owned entrerprise’s performance: the case of Indonesia
by Irine Herdjiono - 94-111 O analiză comparativă a criteriilor de evaluare a proiectelor finanțate din fonduri structurale din perspectiva managementului riscurilor
by Ciprian Nicolae - 112-114 Scurtă incursiune în megatendințele ce vor modela lumea asigurărilor
by Adrian Marin - 115-121 Contrapartea centrală locală
by Laurențiu Paul Barangă - 122-128 Câteva aspecte ale arbitrajului ca modalitate de soluționare a litigiilor din asigurări
by Raul-Felix Hodoș & Narcis Păvălașcu
June 2018, Volume 5, Issue 3
- 190-194 Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 195-208 Analiza fundamentală a investiției de capital în exchange-traded fund
by Alina-Cristina Racu - 209-226 Optimizarea alocării activelor fondurilor de pensii, administrate privat în România (Pilonul II)
by Leonardo Badea & Ion Stancu & Alexandra Darmaz-Guzun - 227-244 Implicațiile modificării reglementărilor privind controlul intern managerial asupra unei metodologii unitare de management al riscurilor pentru finanțările nerambursabile
by Ciprian Nicolae - 245-260 Fiscalitatea și costul leasingului în România: o examinare analitică
by Mihaela Teodorescu & Mihai Mieilă - 261-275 Corelația dintre dezvoltarea pieței de capital și creșterea economică pe grupuri de țări
by Ioana-Maria Dobjanschi - 276-289 Bune practici în evaluarea pe bază de risc a programului de prevenire a spălării banilor într-o instituție bancară
by Codescu Ioana Ana-Maria - 290-298 Micro-asigurarea
by Gheorghita Jeni & Valentin Ionescu - 299-304 Noutăți aduse de MIFID II și impactul acestora
by Barangă Laurenţiu Paul - 305-316 Principii ale investitorului individual
by Vlad-Mircea Ionescu - 317-322 TVA la achiziții în situații de anulare a codului de TVA: A fi sau a nu fi deductibil?
by Lavinia Lazăr - 323-328 Investiții străine directe în economia Republicii Moldova
by Camelia – Elena Ivan
June 2018, Volume 4, Issue 3
- 6-10 Indicele de stabilitate financiară estimat de către Institutul de Studii Financiare
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 11-18 Aspecte privind supravegherea financiară în cadrul pieței asigurărilor
by Cătălin Goia - 19-38 Studiu de impact al asigurărilor auto telematice
by Cornel Coca Constantinescu & Ion Stancu & Iulian Panait - 39-53 Puzzele-ul risc-randament în portofoliile de acțiuni diversificate internațional din perspectiva investitorilor români
by Ioana-Alexandra Radu & Cristian-George Vlaicu - 54-70 Influenţa ratingului de ţară asupra creşterii economice naţionale, înainte și după aderarea la zona euro
by Ana Maria (Mărășescu) Necula & Andrei Tudor Stancu - 71-88 Utilizarea teoriei jocurilor la optimizarea rezoluției financiare
by Gabriel Mitrache - 89-103 Relaţia dintre cursul de schimb valutar şi preţul bursier al băncilor comerciale pe piaţa financiară din România
by Violeta Duță - 104-119 Influența structurii capitalului asupra performanței financiare a instituțiilor de microfinanțare
by Răzvan Gabriel Hăpău - 120-138 Noi evidențe empirice pe marginea E.M.H. – cazul țărilor dezvoltate și emergente – o abordare microeconomică
by Iuliana Maria Ursu - 139-160 Impactul indicatorilor de guvernanță mondială asupra comportamentului investițional
by Raluca Simina Bilți - 161-165 IDD – schimbări și provocări pentru întreg sistemul de distribuție a asigurărilor
by Valentin Ionescu - 166-169 Ce au în comun guvernanţa corporativă şi raportarea nefinanciară?
by Simona-Carmen Fătu - 170-179 Europa și România – o perspectivă asupra asigurărilor
by Stroe Mihaela Andreea
June 2017, Volume 3, Issue 2
- 101-107 Indicele de stabilitate financiară estimat de către Institutul de Studii Financiare
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 108-124 Analiza alternativelor de finanțare prin serviciile tehnologice financiare fintech – fenomenul de crowdfunding
by Bîzderea Claudia Gabriela - 125-139 Previziunea evenimentelor extreme pe piețele financiare
by Ionuț Cosmin Năstase - 140-156 Evaluarea riscului unui portofoliu de acțiuni utilizând metoda Value at Risk
by Căpățînă Adrian-Nicolae - 157-168 Managementul riscului pe piața de capital din România și utilizarea modelelor multifactoriale în estimarea rentabilității acțiunilor
by Adelina- Monica Moraru - 169-183 Diversificarea portofoliului prin investiția în exchange-traded fund
by Mirel Flavius Popa - 184-206 Ajustarea teoriilor clasice de management al portofoliilor cu practici comportamentale
by Nicu Stanciu & Adrian-Tudor Mitroi - 207-215 Bancassurance – factor de dezvoltare a pieței financiare
by Elda Marzai (Abliz) - 216-219 Riscul de mediu și asigurările
by Paul Dumitru
June 2017, Volume 2, Issue 2
- 5-13 Indicele de stabilitate financiară estimat de către Institutul de Studii Financiare
by Ion Stancu & Andrei Tudor Stancu & Iulian Panait - 15-25 Efectul zilei din săptămână pe piaţa de capital din România
by Alexandra Gabriela Ţiţan - 26-39 Rolul politicii monetare în contextul mixului de politici macroeconomice. Abordare cantitativă şi calitativă pentru România
by Alina Georgiana Ioniţă