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Content
2014, Issue 3
2014, Issue 2
- 5-24 A Multidimensional Approach to the Inclusiveness of economic Growth in the New Member States
by Raileanu Szeles, Monica
- 25-34 The Impact of Globalization on Economic Growth
by Yung-Hsiang Ying & Koyin Chang & Chen-Hsun LEE
- 35-52 Influence of the EU Accession Process and the Global Crisis on the CEE Stock Markets: A Multivariate Correlation Analysis
by Anghelache, Gabriela Victoria & Kralik, Lorand Istvan & Acatrinei, Marius & Pete, Stefan
- 53-70 An Estimation of Sectoral Price Stickiness using Aggregate Data
by Cheng-qi Hou & Pin Wang
- 71-86 The Impact of Monetaru Policy on the Romanian Economy
by Dedu, Vasile & Stoica, Tiberiu
- 87-99 Outward Foreign Direct Iinvestments and Merchandise Exports: The European OECD Countries
by Bojnec, Štefan & Ferto, Imre
- 100-114 Transnational Clusters - Consequences of International Trade; Case Study of the Adriatic-Danube Region
by Pauna, Carmen Beatrice & Chilian, Mihaela Nona & Diaconescu, Tiberiu
- 115-129 A Dynamic Weighted Distancedbased Fuzzy Time Series Neural Network with Bootstrap Model for Option Price Forecasting
by Chih-Chung Yang & Yungho Leu & Chien-Pang Lee
- 130-140 Forecast of Romanian Industry Employment using Simulation and Panel Data Models
by Andreica, Madalina Ecaterina & Andreica, Marin
- 141-160 The Twin Deficits in Selected Central and Eastern European Economies: Bounds Testing Approach with Causality Analysis
by Tosun, M. Umur & Iyidogan, Pelin Varol & Telatar, Erdinç
2014, Issue 1
- 5-14 Lawrence R. Klein and the Economic Forecasting – A Survey
by Hall, Stephen George & Roudoi, Andrei & Albu, Lucian Liviu & Lupu, Radu & Calin, Adrian Cantemir
- 15-34 Modelling the Confidence in Industry in Romania and other European Member Countries Using the Ordered Logit Model
by Gagea, Mariana
- 35-52 Unemployment Duration and Exit States of Disabled People in Romania
by Danacica, Daniela Emanuela & Cirnu, Doru
- 53-66 Unemployment, Gender and Labor Force Participation in Spain: Future Trends in Labor Market
by Congregado, Emilio & Carmona, Monica & Golpe, Antonio A. & Van Stel, André
- 67-85 What Role for 'Learning'? A North-South Tale of Enrichment Effect∗
by Das, Gouranga G.
- 86-104 Testing the Endogeneity of Trade and Financial Integration and Sectoral Specialization in an Enlarged Euro Area
by Dinu, Marin & Marinas, Marius-Corneliu & Socol, Cristian & Socol, Aura-Gabriela
- 105-122 The Optimal Hedging Ratio for Non-Ferrous Metals
by Dinica, Mihai Cristian & Armeanu, Daniel
- 123-138 International Equity Diversification Between the United States and Brics Countries
by Zhong, Ming & Chang,Tsangyao & Tzeng, Han-Wen
- 139-159 Time-Varying Behaviour of Sector Beta Risk – The Case of Poland
by Kurach, Radosław & Stelmach, Jerzy
- 160-176 Economic Freedom, Inflation Rate and their Impact on Economic Growth: A Panel Data Analysis
by Kiliç, Cuneyt & Arica, Feyza
2013, Issue 4
2013, Issue 3
2013, Issue 2
- 7-17 Foreign Trade and FDI as Main Factors of Growth in the EU
by Albu, Lucian Liviu
- 18-51 Liquidity, the October 2008 Speculative Attack and the Central Bank Reputation
by Croitoru, Lucian
- 52-69 Economic Growth and Structural Changes in Regional EmploymenT
by Jula, Dorin & Jula, Nicolae Marius
- 70-86 Cost Minimization under Variable Input Prices: A Theoretical Approach
by Agapie, Adriana & Lima, Tony
- 87-100 The Interaction Of Structural Changes With Inflation in the Presence of Symetric and Asymetric Economic Behaviours – Evidence from a General Dynamic Intersectoral Model
by Dospinescu, Andrei Silviu & Mitrofan, Maria
- 101-114 A View on the Risk-Neutral Density Forecasting of the Dax30 Returns
by Duca, Ioana Andreea & Ruxanda, Gheorghe
- 115-128 Does Venture Capital Spur Economic Growth? Evidence from Israel
by Zhang, Biao & Zhang, Dongxiang & Wang, Juan & Huang, Xiashuai
- 129-140 Discovering the System Structure with Applications in Economic and Social Sciences
by Stefanescu, Stefan
- 141-144 Multiple Points Regression
by Mateescu, George Daniel
- 145-158 Dynamics of Fixed Capital Productivity and the Macroeconomic Equilibrium
by Pavelescu, Marius Florin
- 159-171 New Keynesian Phillips Curve for Romania
by Saman, Corina & Pauna, Bianca
- 172-192 Financialisation: Structure, Extent, Consequences
by Iancu, Aurel
- 193-210 The Eurozone: An Inconvenient Truth
by Croitoru, Lucian
- 211-222 The Input-Output Modeling Approach to the National Economy
by Gaftea, Viorel
- 223-239 The Mechanisms of Arrears in Romania
by Pelinescu, Elena
2013, Issue 1
- 5-23 The Monetary Causes of Inflation in Romania
by Paun, Cristian & Topan, Vladimir
- 24-38 The Interchange Fees - A Comparison between Optimal Private and Social Levels
by Dragoi, Ionut Mihai
- 39-61 Foreign Direct Investment based on Country Risk and other Macroconomic Factors. Econometric Models for Romanian Economy
by Savoiu, Gheorghe & Dinu, Vasile & Ciuca, Suzana
- 62-81 Financial Stability and Monetary Policy: A Reduced-Form Model for the EURO Area
by Albulescu, Claudiu Tiberiu
- 82-97 A Hybrid Business Failure Prediction Model Using Locally Linear Embedding And Support Vector Machines
by Lin, Fengyi & Yeh, Ching Chiang & Lee, Meng Yuan
- 98-118 How Core Inflation Reacts to the Second Round Effects
by Mija, Simion & Slobozian, Dorin & Cuhal, Radu & Stratan, Alexandru
- 119-135 Using a Macroeconomic Model to Check Forecast Consistency
by Stanica, Cristian Nicolae
- 136-148 A DCC-GARCH Model To Estimate the Risk to the Capital Market in Romania
by Acatrinei, Marius & Gorun, Adrian & Marcu, Nicu
- 149-163 Education in Romania - How much is it Worth?
by Ion Zgreaban, Irina
2012, Issue 4
- 5-16 The Convergence Process in the EU Estimated by Gini Coefficients
by Albu, Lucian Liviu
- 17-35 Reconsideration of Dimensions and Curve Fitting Practice in View of Georgescu-Roegen’s Epistemology in Economics
by Kozo Mayumi & Mario Giampietro & Jesus Ramos-Martin
- 36-55 FDI, Productivity and Wages. New Evidence from a Romanian Matched Sample
by Jude, Cristina
- 56-67 Revisiting Mean Reversion in the Stock Prices of Nine Transition Countries: Threshold Unit Root Test
by Guochen Pan & Seng-Sung Chen & Tsangyao Chang
- 68-82 Governance and Contractual Structure in the Vegetable Supply Chain in Romania
by Alboiu, Cornelia
- 83-103 Price Volatility Forecast for Agricultural Commodity Futures: The Role of High Frequency Data
by Huang, Wen & Huang, Zhuo & Matei, Marius & Wang, Tianyi
- 104-116 An Analytic Derivation of the Efficient Market Portfolio
by Zion Guo & Hsin-Yi Huang
- 117-128 Oscillatory Dynamics of Industrial Production
by Purica, Ionut
- 129-146 Foreign Direct Investments in Romania. A Structural and Dynamic View
by Andrei, Dalina Maria
- 147-162 Can VAR Be Predictive for Regulation? Evidence from the Futures Industry in Taiwan
by Matthew C. Chang & Jui-Cheng Hung
- 163-180 The Interdependence of the Stock Markets of Slovenia, The Czech Republic and Hungary with Some Developed European Stock Markets – The Effects of Joining the European Union and the Global Financial Crisis
by Dajcman, Silvio & Festic, Mejra
2012, Issue 3
- 5-21 Transmission Mechanism of Monetary Policy in Romania. Insights into the Economic Crisis
by Pelinescu, Elena
- 22-43 Evaluating Individual and Mean Non-Replicable Forecasts
by Chang, Chia Lin & Franses, Philip Hans & Mcaleer, Michael
- 44-57 Enhancing the Efficiency of the Benchmarking Learning Map Model: The Integrated Fra Perspective
by Lin, Wen Cheng & Yahalom, Shmuel
- 58-68 Mean Reversion of Real Interest Rates in G-20: Panel Kss Test by Spsm with a Fourier Function
by Chang, Chih Kai
- 69-79 Testing For Nonlinearity In G7 Macroeconomic Time Series
by Yavuz, Nilgün Çil & Yilanci, Veli
- 80-96 What is Romania’s Wealth? The Foundation of a National Wealth Evaluation Econometric Model
by Zaman, Gheorghe & Dumitrascu, Roxana Arabela & Dumitrascu, Vadim
- 97-120 Revisiting the Relationship between Electricity Consumption, Capital and Economic Growth: Cointegration and Causality Analysis in Romania
by Shahbaz, Muhammad & Mutascu, Mihai & Tiwari, Aviral Kumar
- 121-141 Determinants of the Dinar-Euro Nominal Exchange Rate
by Nedeljković, Milan & Urošević, Branko
- 142-151 Is the Romanian Business Cycle Characterized by Chaos?
by Caraiani, Petre
- 152-170 Fiscal Theory of Price Level: A Panel Data Analysis for selected Saarc Countries
by Nawaz, Muhammad & Iqbal, Muhammad Mazhar & Ali, Amanat & Zaman, Khalid
2012, Issue 2
- 5-23 Clusterization, Persistence, Dependency and Volatility of Business Cycles in an Enlarged Euro Area
by Dinu. Marin & Marinas, Marius Corneliu & Socol Cristian & Socol, Aura Gabriela
- 24-37 Transitional Behavior of Government Debt Ratio on Growth: The Case of OECD Countries
by Chang, Tsangyao & Chiang, Gengnan
- 38-51 Sudden Changes In Volatility In Central And Eastern Europe Foreign Exchange Markets
by Todea, Alexandru & Platon, Diana
- 52-67 Foreign Direct Investment, Export and Economic Growth: Empirical Evidence from New EU Countries
by Acaravci, Ali & Ozturk, Ilhan
- 68-84 The Macromodel of the Moldovan Economy Medium-Term Forecast for Moldova
by Stratan, Alexandru & Chistruga, Marcel
- 85-102 Foreign Direct Investments, Technology Transfer and Economic Growth. A Panel Approach
by Hudea Caraman, Oana Simona & Stancu, Stelian
- 103-126 Copulas having Zero-Isoline and Economic Applications
by Ciuiu, Daniel
- 127-142 Volatility Forecasting with Asymmetric Normal Mixture Garch Model: Evidence from South Africa
by Cifter, Atilla
- 143-162 Tax Policy under the Curse of Low Revenues: The Case of Romania (Part II)
by Daianu, Daniel & Kallai, Ella & Lungu, Laurian
2012, Issue 1
- 5-19 The Renewable Energy Development: A Nonparametric Efficiency Analysis
by Aldea, Anamaria & Ciobanu, Anamaria & Stancu, Ion
- 20-40 The Roots of the Banking Crisis in the New EU Member States: A Panel Regression Approach
by Festic, Mejra & Kavkler, Alenka
- 41-61 On Solving Some Types of Multiple Attribute Decision-Making Problems
by Vaduva, Ion
- 62-73 Price Indicators as a Measure of Credit Market Integration in the Visegrad Countries
by Vodova, Pavla
- 74-94 The Demand for Money in China: A Reassessment Using the Bounds Testing Approach
by Lee, Chien Chiang & Chang, Chun Ping
- 95-115 Perspectives on risk measurement: a critical assessment of PC-GARCH against the main volatility forecasting models
by Matei, Marius
- 116-127 Control and Crisis in a City Seen as a Reactor of Economic Transactions
by Purica, Ionut
- 128-143 Local Environment Analysis and Rules Inferring Procedure in an Agent-Based Model – Applications in Economics
by Dospinescu, Andrei Silviu
- 144-155 The Contribution of Econometrics to the Management of the Enterprise
by Bourbonnais, Régis & Maftei, Mara Magda
- 156-186 Tax Policy under the Curse of Low Revenues: The Case of Romania (Part I)
by Daianu, Daniel & Kallai, Ella & Lungu, Laurian
- 187-204 Evolution of Regional and Sub-Regional Disparities in Romania – A Sectoral Shift-Share Analysis
by Chilian, Mihaela Nona
2011, Issue 4
- 5-14 Hysteresis in Unemployment for G-7 Countries: Threshold Unit Root Test
by Chang, Tsangyao & Lee, Chia-Hao
- 15-29 Debt Ceiling and External Debt Sustainability in Romania: A Quantile Autoregression Model
by Boengiu, Tudor & Morar Triandafil, Cristina & Morar Triandafil, Adrian
- 30-46 Comparing Monetary Policy Rules in the Romanian Economy: A New Keynesian Approach
by Caraiani, Petre
- 47-67 How Good are the Growth and Inflation Forecasts for Slovenia?
by Jagric, Timotej & Beko, Jani
- 68-78 Discriminant Analysis of the Abilities of Public Marketing Specialists
by Grigorescu, Adriana & Bob, Constantin
- 79-89 Financial Market Risk and Gold Investment in an Emerging Market: The Case of Malaysia
by Mansor, Ibrahim H.
- 90-105 Modeling Government Policies used for Sustaining Economic Growth in Romania
by Stanica, Cristian Nicolae
- 106-128 Estimating the Impact of Central Bank Independence upon Macroeconomic Performance using a Panel Data Model
by Dumiter, Florin Cornel
- 129-140 Scenarios of the Romanian GDP Evolution With Neural Models
by Saman, Corina
- 141-162 Possible Evolutions of Investment Rate – Error Correction Models Scenarios
by Scutaru, Cornelia
- 163-177 A Model for Measuring the National Global Performance and Analyzing its Determinants – The Case of Romania
by Herciu, Mihaela & Ogrean, Claudia
- 178-196 Patrimonial Pattern of Rural Development. Case Study: The Rural Communities from Tara Hateg Retezat Area
by Florian, Violeta
- 197-199 The "Dobrescu Macromodel" of the Romanian Market Economy - 2005 Version Yearly Forecast Preliminate for 2011, November Estimates
by Institute for Economic Forecasting & Centre for Macroeconomic Modelling
2011, Issue 3
- 5-36 Sectoral Structure and Economic Growth
by Dobrescu, Emilian
- 37-58 Forecasting Volatility in Financial Markets Using a Bivariate Stochastic Volatility Model with Surprising Information
by Beum-Jo Park
- 59-70 Long-Run Purchasing Power Parity with Asymmetric Adjustment: Evidence from Mainland China and Taiwan
by Yang-Cheng Lu & Chang, Tsangyao & Chin-Ping Yu
- 71-82 Optimum Currency Area and Shock Asymmetry: A Dynamic Analysis of the West African Monetary Zone (WAMZ)
by Omotor, Douglason G. & Niringiye, Aggrey
- 83-91 P-Star Model under the Currency Board – The Case of Bulgaria 1997-2008
by Mihalicova, Xenia & Gazda, Vladimír & Kubak, Matúš & Grof, Marek
- 92-107 An Evaluation of Effectiveness of Fuzzy Logic Model in Predicting the Business Bankruptcy
by Korol, Tomasz & Korodi, Adrian
- 108-131 Operational Risk Modelling and Capital Adequacy – are There any Rewards in Greater Complexity?
by Anghelache, Gabriela Victoria & Cozmanca, Bogdan Octavian & Radu, Alina Nicoleta
- 132-161 Central and East European Corporate Finance: Between Commonality and Heterogeneity
by Morar Triandafil, Cristina & Poanta, Dorina
- 162-177 Consumer Credit Scoring
by Costangioara, Alexandru
- 178-199 Contribution of Balance Scorecard Model in Efficiency of Managerial Control
by Bostan, Ionel & Grosu, Veronica
- 200-212 Measurement of National Non-Visible Wealth through Intellectual Capital
by Lopez Ruiz, Víctor Raul & Nevado Pena, Domingo & Alfaro Navarro, Jose Luis & Badea, Leonardo & Grigorescu, Adriana & Voinea, Liviu
- 213-238 Three Unemployment Rates Relevant To Monetary Policy
by Croitoru, Lucian
- 239-254 Modeling the Financial Behavior of Population (I) – Conceptual Assignations
by Dinga, Emil & Pop, Napoleon & Dimitriu, Mihail & Milea, Camelia
- 255-266 About the Accuracy of Gini Index for Measuring the Poverty
by Stefanescu, Stefan V.
- 267-269 The "Dobrescu Macromodel" of the Romanian Market Economy - 2005 Version - Yearly Forecast – Autumn Forecast 2011, September Estimate
by Institute for Economic Forecasting & Centre for Macroeconomic Modelling
2011, Issue 2
- 5-18 Early-stage entrepreneurial aspirations in efficiency-driven economies
by Pete, Stefan & Nagy, Agnes & Matis, Dumitru & Gyorfy, Lehel Zoltan & Benyovszki, Annamaria & Petru, Tunde Petra
- 19-30 Revisiting Purchasing Power Parity for Nine Transition Countries Using the Rank Test for Nonlinear Cointegration
by Chang, Tsangyao & Chiu, Chi Chen & Tzeng, Han Wen
- 31-41 Energy Consumption and Economic Growth in Turkey: Cointegration and Causality Analysis
by Kaplan, Muhittin & Ozturk, Ilhan & Kalyoncu, Huseyin
- 42-54 Modeling and Forecasting the Dynamics in Romanian Stock Market Indices Using Threshold Models
by Acatrinei, Marius Cristian & Caraiani, Petre
- 55-63 Biotechnology and Its Role for a Sustainable Agriculture
by Hera, Cristian & Popescu, Ana
- 64-83 Income Polarization In Romania
by Molnar, Maria
- 84-105 Absorption of the structural funds in Romania
by Cace, Corina & Cace, Sorin & Nicolaescu, Victor
- 106-115 Assessing the Sustainability of Public Finances in Romania
by Zaman, Constantin
- 116-141 Non-Linear Volatility Modeling of Economic and Financial Time Series Using High Frequency Data
by Matei, Marius
- 142-170 Regaining Financial Stability: Taming Financial Markets Is a Must - A Focus on NMSs
by Daianu, Daniel
- 171-174 The "Dobrescu Macromodel" of the Romanian Market Economy - 2005 Version - Yearly Forecast – Summer Forecast 2011, June Estimate
by Institute for Economic Forecasting & Centre for Macroeconomic Modelling
2011, Issue 1
- 5-19 Similarity of Supply and Demand Shocks Between the New Member States and the Euro Zone. The Case of Romania
by Dumitru, Ionut & Dumitru, Ionela
- 20-40 Exploring the Economic Convergence in the Eu’s New Member States by Using Nonparametric Models
by Raileanu Szeles, Monica
- 41-53 A Non-Linear Model of Causality Between the Stock and Real Estate Markets of European Countries
by Su, Chi Wei & Chang, Hsu Ling & Zhu, Meng Nan
- 54-71 Financial Information Fraud Risk Warning for Manufacturing Industry - Using Logistic Regression and Neural Network
by Shih, Kuang Hsun & Cheng, Ching Chan & Wang, Yi Hsien
- 72-87 Analyzing the Dynamics of Relative Prices on a Market with Speculative and Non-Speculative Agents Based on the Evolutionary Model
by Dospinescu, Andrei Silviu
- 88-105 The Introduction of the Common Currency in Slovenia
by Festic, Mejra & Krizanic, France
- 106-124 An Evaluation of Asymmetric and Symmetric Effects of Oil Exports Shocks on Non-Tradable Sector of Iranian Economy
by Shirinbakhsh, Shamsollah & Moghaddas Bayat, Maryam
- 125-142 An Application of Economic Capacity Utilization to the Measurement of Total Factor Productivity Growth: Empirical Evidence from Indian Fertilizer Industry
by Sarbapriya, Ray & Mihir, Kumar Pal
- 143-158 Why do not They Move from Rural to Urban Areas? Inter-Regional Migration in Romania
by Silaghi, Monica Ioana & Ghatak, Subrata
- 159-174 General Equilibrium Dynamic Models and the Doha Round Impact on Underdeveloped Economies
by Bostan, Ionel & Grosu, Veronica
- 175-192 Technical Analysis and Stochastic Properties of Exchange Rate Movements: Empirical Evidence from the Romanian Currency Market
by Todea, Alexandru & Zoicas Ienciu, Adrian
- 193-211 Analysis of the Procedure for Balancing the Local Budgets in Romania
by Bunescu, Liliana & Cristescu, Marian
- 212-229 The Drivers of the CEE Exchange Rate Volatility - Empirical Perspective in the context of the Recent Financial Crisis
by Morar Triandafil, Cristina & Brezeanu, Petre & Huidumac, Catalin & Morar Triandafil, Adrian
- 230-256 Models of Financial System Fragility
by Iancu, Aurel
- 257-276 Approaching Economic Issues through Epidemiology–An Introduction to Business Epidemiology
by Bolos, Bradut & Bacarea, Vladimir & Marusteri, Marius
- 277-281 The Dobrescu Macromodel of the Romanian Market Economy – 2005 Version Yearly Forecast Spring Forecast 2011, March Estimate
by Institute for Economic Forecasting & Centre for Macroeconomic Modelling
2010, Issue 5
- 7-16 Examples of New Macroeconomic Modelling and Simulation Techniques: How They Could Improve Decisions and Public Perception
by Albu, Lucian Liviu & Gorun, Adrian
- 17-32 The Analysis of Local Budgets and Their Importance in the Fight Against the Economic Crisis Effects
by Pelinescu, Elena & Anton, Lucian Vasile & Ionescu, Raluca & Tasca, Radu
- 33-42 Assessment of Economic Growth of the Republic of Moldova in the Context of Global Economic Crisis
by Stratan, Alexandru
- 43-58 Public&Business Management Confluences – Success Factors
by Grigorescu, Adriana & Bob, Constantin
- 59-73 European Performances regarding Flexicurity in the New Member States and Their Regions
by Chilian, Mihaela Nona & Albu, Lucian Liviu & Iordan, Marioara
- 74-81 Nonlinear Considerations on Economic Systems’ Behaviour
by Purica, Ionut
- 82-99 Migration in the Context of Current Economic and Financial Crisis - Comparative Analysis
by Balan, Mariana & Uzlau, Carmen
- 100-119 Strategic Development Prospects for the Labor Market in Romania, as Introduced by the Europe 2020 Strategy
by Ciuca, Vasilica & Lincaru, Cristina
- 120-142 Prospects for the Evolution of the Economic Sectors’ Behavior
by Scutaru, Cornelia & Fomin, Petre & Stanica, Cristian
2010, Issue 4
- 7-15 An Estimated Small Open Economy New-Keynesian Model of the Australian Economy
by Heidari, Hassan
- 16-31 Business Cycle Correlation of the New Meber States with Eurozone - The Case of Romania
by Dumitru, Ionut & Dumitru, Ionela
- 32-43 Regional Distribution of Inflationary Pressures in Romania
by Ailenei, Dorel & Cristescu, Amalia
- 44-53 The Balassa-Samuelson Effect in Romania
by Dedu, Vasile & Dumitrescu, Bogdan Andrei
- 54-75 A Comparative Analysis of the Efficiency of Romanian Banks
by Andries, Alin Marius & Cocris, Vasile
- 76-87 Forecasting Romanian GDP Using a BVAR Model
by Caraiani, Petre
- 88-101 Trade and Growth in the Pacific Islands - Empirical Evidence from the Bounds Test to Level Relationships and Granger Causality Tests
by Katircioglu, Salih & Eminer, Fehiman & Aga, Mehmet & Ozyigit, Ahmet
- 102-124 New Findings on Actual and Potential Trade between Romania and the Russian Federation: A Gravity Approach
by Dascalescu, Virgil & Nicolae, Elena & Ion, Irina
- 125-131 The Validity of Purchasing Power Parity Hypothesis in Middle East and Northern Africa Countries
by Kalyoncu, Hüseyin & Kula, Ferit & Aslan, Alper
- 132-147 Efficiency, Effectiveness and Performance of the Public Sector
by Mihaiu, Diana Marieta & Opreana, Alin & Cristescu, Marian Pompiliu
- 148-167 The Impact of Defense Expenditure on Economic Growth
by Obreja Brasoveanu, Laura
- 169-183 Causality Relationship between Real GDP and Electricity Consumption in Romania (2001-2010)
by Kayhan, Selim & Adiguzel, Uğur & Bayat, Tayfur & Lebe, Fuat
- 184-207 Discretionary Policy versus Non-Discretionary Policy in the Economic Adjustment Process
by Dinga, Emil & Ionescu, Cornel & Padurean, Elena
- 208-212 The "Dobrescu Macromodel" of the Romanian Market Economy - 2005 Version - Yearly Forecast – Preliminate for 2010, November estimate
by Institute for Economic Forecasting & Centre for Macroeconomic Modelling
2010, Issue 3