Content
September 2024, Volume 28, Issue 3
- 6-25 The Impact Of The Georgian Real Estate Investment Trust On The Performance Of Various Portfolios
by BERISHVILI, Vakhtang & DIDMANIDZE, Monika
June 2024, Volume 28, Issue 2
- 6-18 A Note On The Early Warning System Of Change Points: Combination Of Regime Switching And Threshold Models
by HABIBI, Reza - 19-34 Innovative Technologies For The Insurance Sector In The Republic Of Moldova
by UNGUR, Corina - 35-56 Enhancing Energy Policy Adoption Within The South African Financial Services Sector
by van der WESTHUIZEN, Erika
March 2024, Volume 28, Issue 1
- 6-25 The Impact Of Energy Consumption In Crypto Assets On Crypto Asset Prices And Carbon Emissions: Case Of Bitcoin And Ethereum
by BİLİRER, Meltem & ZEREN, Feyyaz - 26-49 The Role Of Financial Inclusion In Women’S Economic Empowerment: Evidence From Nigeria
by OGUNRINDE, Omoniyi Yemi - 50-68 The Impact Of Islamic Banks' Profitability Index On The Performance Of The Amman Stock Exchange During 2011-2021
by SHARRAB, Maher Mohammad Saleh & DANNOUN, Zaid Othman Mohammed
December 2023, Volume 27, Issue 4
- 6-25 Assessment Of Foreign Currency Risk And Other Factors That Affect Civil Society Organizations Performance In Georgia
by KOPALEISHVILI, Teona & BERISHVILI, Vakhtang - 26-45 Financial Literacy And Entrepreneurial Traits As Determinants Of The Small And Meduim-Scale Enterprises’ Profitability In Ogun State
by ADEYEMI, Adedayo Patrick & GBADAMOSI, Lasun M. & ADEYEMI, Muyiwa B. - 46-59 Investigating The Influence Of The Shadow Economy On Non-Performing Loans In European Economies: A Panel Gmm Analysis
by CEPOI, Cosmin Octavian & DUMITRESCU, Bogdan Andrei & LEONIDA, Ionel - 60-74 About Households' Wealth And The Effects Of Some Tax Measures That May Affect It
by MIHAILA, Nicoleta - 75-87 Risks Induced By The Trend And Level Of Foreign Debt In Romania
by MILEA, Camelia
September 2023, Volume 27, Issue 3
- 6-24 Financial Literacy Of Young Black African Adults In Rural And Low-Income Areas In South Africa
by NDOU, Adam - 25-39 Constant Correlation Model For Optimal Portfolio Formation And Expected Shortfall Risk Measurement: Empirical Evidence From Indonesian Stock Market
by DEVITA, Febrina & WILANDARI, Yuciana & MARUDDANI, Di Asih I - 40-56 Investor Attention And Exchange Traded Fund Returns In South Africa: The Role Of Investors’ Internet Search Activity
by KUNJAL, Damien - 57-70 Lending Decision, Sacco Size And Liquidity Of Farmers Based Deposit-Taking Saccos In Kenya
by GACHENGA, John Ndung’u & KINYARIRO, Dickson Kamau & WAMBU, Charles Kamau & MAINA, Justus Nderitu
June 2023, Volume 27, Issue 2
- 6-21 Effect Of Corruption In Public Procurement On Tax Revenue In Kenya: A Literature Review
by NYANAMBA, Steve Ondieki & OKIOGA, Charles Kombo - 22-52 The Impact Of Central Bank Digital Currency On Digital Financial Inclusion: Evidence From Nigeria
by OGUNRINDE, Omoniyi Yemi - 53-71 Evaluation Of Prediction Accuracy Models For Bankruptcy In Indonesian Banks
by GUNANTO, Adi
March 2023, Volume 27, Issue 1
- 6-17 Relationship Between Dividend Yield And Financial Performance Of Listed Firms At The Nairobi Securities Exchange
by KEMBOI, Noah & KINYARIRO, Dickson Kamau & GESAGE, Methuselah Bichage & MAINA, Justus Nderitu - 18-38 Investigating The Optimal Exit Timing And Leverage During The Covid-19 Crisis
by ABDELHAMID, Mohamed Ben & BELLALAH, Makram - 39-58 Parental Financial Socialisation And Socioeconomic Status
by NDOU, Adam
December 2022, Volume 26, Issue 4
- 6-18 Prospects For Achieving Romania'S External Equilibrium
by MILEA, Camelia - 19-47 Enhancing Financial Accountability In South African Local Municipalities: A Consequence Management Viewpoint
by ENWEREJI, Prince Chukwuneme - 48-64 The Minimum Wage And Economic Growth. Analysis In The Case Of Romania
by MIHAILA, Nicoleta - 65-76 Financial Education And Digitalization. The Case Of Romania
by CIUMARA, Tudor
September 2022, Volume 26, Issue 3
- 6-34 Problems And Prospects To Sustainable Development In Covid-19 “New Normal”: Evidence From Western Balkans’ Stock Markets
by STEFANOVA, Julia Stoyancheva - 35-54 The Asymmetrical Impact Of Policy Responses On Volatility Of Sovereign Default Swaps
by ERER, Deniz - 55-75 Determinants Of Financial Stability In Sub-Saharan Africa
by JIMA, Meshesha Demie & MAKONI, Patricia L. - 76-93 Central Banks Contributions In Managing The Pandemic Crisis. A Summary At The Eu Countries Level
by CRISTE, Adina
June 2022, Volume 26, Issue 2
- 6-17 Entrepreneurial Firms And Financing Channels: Interdependence Elements
by CIUMARA, Tudor - 18-36 Impact Of Working Capital Management On Profitability Of Macedonian Industrial Companies
by NAUMOSKI, Aleksandar & NAUMOVSKA, Maja - 39-54 Factors Affecting The Adoption Of Financial Technology Among The Banking Customers In Emerging Economies
by SAZU, Mesbaul Haque & JAHAN, Sakila Akter
March 2022, Volume 26, Issue 1
- 6-22 A Critical Review Of Neoclassical And Behavioural Theories Of Merger Waves
by RAHMAN, Md. Atiqur & USHER, Lauren - 23-50 The Effect Of Banking Competition On Financial Stability In Central African Economic And Monetary Community Zone
by MAMADOU ASNGAR, Thierry & ONGO NKOA, Bruno Emmanuel & WIRAJING, Muhamadu Awal Kindzeka - 54-77 Financial Inclusion In Developing Countries. A Review Of The Literature On The Costs And Implications
by NGONYANI, Danstun
December 2021, Volume 25, Issue 4
- 6-16 The Activity Of Victor Slavescu - Echoes From His Epoch
by LUPU, Iulia & CRISTE, Adina & CIUMARA, Tudor - 17-33 Optimal Hedge Ratio In Turkish Stock Index Futures Market: A Deco-Fiaparch Approach
by ÇELİK, İsmail - 34-70 The Microprudential Stress Testing For Banking System. A Study Case On Algerian Private Bank, Using Accounting Approach
by BOUCHETARA, Mehdi & EYIH, Sidi & HADJ SLIMANE KHEROUA, Hinde - 71-87 Globalization, Tax Policy And Tax Havens. Some Critical Considerations
by MIHÄ‚ILÄ‚, Nicoleta - 88-98 An Attempt To Design A Fiscal Profile Of The Romanian Tax System
by LEONIDA, Ionel
September 2021, Volume 25, Issue 3
- 6-28 Measuring Systemic Risk Of China'S Listed Banks
by ZHANG, Ping & WANG, Yiru & ZHAO, Min & YANG, Tzu-Yi - 29-43 The Audit Opinion In The Role Of Stock Prices Fluctuations On The Macedonian Stock Exchange
by DIONISIJEV, Ivan - 44-55 Analyzing The Technical Efficiency Using Data Envelopment Analysis Method: The Case Of Gulf Cooperation Council Countries
by BASHAYREH, Ala’ & ALOMARI, Mohammad W. - 56-70 Comparing Connection Between Stock Price & Dividend Policy In Public And Private Sector: Pakistan Evidence
by AMIN, Muhammad & REHAN, Muhammad
June 2021, Volume 25, Issue 2
- 6-20 Role Of Early Warning Systems In Predicting The Stock Price Crisis: What We Learnt From Grasshopper And Ants Fable
by HABIBI, Reza - 21-36 Impact Of Board Traits On Organisations’ Dividend Payout. Evidence From Pakistan
by KHAN, Adnan Ullah - 37-49 Moderating Effect Of Sacco Size On The Nexus Between Governance Costs And Financial Soundness Of Deposit Taking Saccos In Nairobi City County, Kenya
by MAINA, Justus Nderitu & NDWIGA, Peter Musangi & KINYARIRO, Dickson Kamau - 50-63 Reflections On The Consequences And Risks Of An Economy’S Indebtedness
by MILEA, Camelia - 64-78 Implementing Quantitative Techniques In Assessing The Risk Attitudes
by DRAGHICI, Dalis Maria - 79-102 Implementing Quantitative Techniques In Assessing The Risk Attitudes
by CIOCANEA, Bianca Cristina & PIÈšU, Ioan Cosmin & UNGUREANU, DragoÈ™ Mihai
March 2021, Volume 25, Issue 1
- 6-29 The Impacts Of Speeches On Nowcasting Gdp: A Case Study On Euro Area Markets
by KOCAK, Necmettin Alpay - 30-47 Effect Of Inter-Industry Competition And Financial Freedom On Competitiveness Of Commercial Banking Sector
by LIYANAGAMAGE, Champika - 48-64 Empirical Analysis Of The Factors Determining The Profitability Of Insurance Companies In The Republic Of North Macedonia
by GOCKOV, Gjorgi & KAMENJARSKA, Tanja - 65-77 The Impact Of Fees On The Return Of The Second Pension Pillar In Romania
by DUMITRESCU, Bogdan Andrei & HANDOREANU, Catalina Adriana - 78-94 The Role Of Corporate Governance In Managing Small Income In Indonesian State-Owned Enterprise
by NURHAYATI, Puji - 95-113 Financial Ratios Affecting Systematic Risk In Joint-Stock Companies: Bist Technology (Xutek) Industry Companies Case In Turkey
by TEKIN, Bilgehan
December 2020, Volume 24, Issue 4
- 6-28 The Effects Of Covid-19 Outbreak On Financial Markets
by CELIK, Ismail & YILMAZ, Tayfun & EMIR, Suleyman & SAK, Ahmet Furkan - 29-40 Consequences Of Covid-19 On The International Trade In Goods And Services: Forecasts, Developments, Restrictions
by MILEA, Camelia - 41-59 The Correlation Between Economic Indicators And Taiwan Stock Market €“ A Case Study Of Leading And Lagging Indicators
by YANG, Tzu-Yi - 60-67 Performance Of Fiscal Measures In Rectifying Fiscal Imbalances In Saudi Arabia
by NASEEM, Sana - 68-86 Assessment Of The Shadow Economy In The Republic Of Moldova: Theoretical Grounding And Practical Results Of The Input-Output Model
by CEBAN, Alexandru
September 2020, Volume 24, Issue 3
- 6-22 Empirical Analysis Of The Relationship Between Purchasing Managers Index And Bist Industrial Index Under Structural Breaks
by SAHIN, Emrah & GUNGOR, Selim & KARACA, Suleyman Serdar - 23-40 Jordanian Banking System: Analysis Of Technical Efficiency And Performance
by TAHTAMOUNI, Abla S. & ALOMARI, Mohammad W. & BASHAYREH, Ala & ABDELHADI, Samer - 41-50 A Financial Systemic Stress Index For Romania
by DRAGHIA, Andreea & STEFONI, Sorina Emanuela - 51-65 Financial Innovation Practice, Sacco Size And Financial Sustainability Of Deposit Taking Saving And Credit Co-Operatives In Kenya
by MAINA, Justus Nderitu & KIAI, Richard Muthii & KYALO, Teresia Ngina - 66-82 Capital Structure And Financial Performance: Case Study From Pakistan Pharmaceutical Sector
by REHAN, Muhammad & KARACA, Suleyman Serdar & ALVI, Jahanzaib - 83-92 The Response Of Financial Market Indices To Covid-19 Pandemic
by SATTAR, Muhammad Atif & ARCILLA Jr., Felix E. & SATTAR, Muhammad Fahad
June 2020, Volume 24, Issue 2
- 6-18 Overview Of The National Bank Of Romania’S Role In The Last Century
by CRISTE, Adina & LUPU,Iulia - 19-36 Can Bitcoin Be A Stable Investment?
by CELIK, Ismail - 37-48 The Analysis Of Relationship Between Participation-30 Index In Turkey And Commodity Markets, National And International Indexes
by KEVSER, Mustafa & DOGAN, Mesut - 49-63 Financial Perspectives Of Islamic Bank’S In Oman
by MOHAMMED, Shariq & ALAM, Mohammad Noor - 64-90 Skill Gap Perceived Between Employers And Accounting Graduates In Ethiopia
by GETAHUN, Mohammed & MERSHA, Deresse
March 2020, Volume 24, Issue 1
- 6-20 The Relationship Between Inflation And Economic Growth: Experiences Of Some Inflation Targeting Countries
by EKINCI, Ramazan & TUZUN,Osman & CEYLAN, Fatih - 21-35 A Post-Keynesian Approach As An Alternative To Neoclassical In The Explanation Of Monetary And Financial System
by ZACHARIADIS, Savvas - 36-52 Knowledge Sharing, Innovation And Firm Performance: Evidence From Turkey
by DOGAN,Mesut & DOGAN,Husna - 53-69 Testing J-Curve Effect On Trade Balance In Turkish Economy
by KANSEL,Zubeyir Can & BARI,Bilgin
December 2019, Volume 23, Issue 4
- 6-20 Consequences Of The Greek Economic Crisis On The Structure Of The Greek Banking System
by KARAFOLAS, Simeon - 21-38 Development Of A Financial Model In A Business: The Case Of A Company In Plastics Industry
by JAKI, Alexander & AITSIDIS, Charalampos & PANAGIOTOPOULOS, Fotios & MADITINOS, Dimitrios - 39-51 A Study On R&D Expenditure And Corporate Value Of Chinese High-Tech Industry
by CHEN, Guan-Chih & TSAO, Shuling - 52-84 The Control Of Small Medium Banks Profitability Using Financial Modeling Approach Under Certainty And Uncertainty
by LIAPIS, J. Konstantinos & TRIGKAS, J. Sotirios - 86-99 Ways Of Involving Central Bank In Supporting Economic Growth
by CRISTE, Adina - 100-110 Romania'S Trade Relationship With The European Union In The Prospect Of Joining The Euro Area
by MILEA, Camelia
September 2019, Volume 23, Issue 3
- 6-20 Causal Relationship Between Bitcoin Price Volatility And Trading Volume: Rolling Window Approach
by YAMAK, Nebiye & YAMAK, Rahmi & SAMUT, Serkan - 21-33 Is There A Rational Bubble In Bist 100 And Sector Indices?
by KIRKPINAR, Aysegul & ERER, Elif & ERER, Deniz - 34-48 Systemic Risk: An Overview
by ZELDEA, Cristina Georgiana - 49-65 The Nexus Between Financial Literacy And The Credit Status In Indonesia
by ISMANTO, Hadi & MUHARAM, Harjum & PANGESTUTI, Irene Rini Demi & WIDIASTUTI, Anna & ROFIQ, Fathur - 66-78 Assessing The Determinants For The Adoption Of E-Banking Services: The Case Of Dashen Bank
by BIRBIRSA, Zerihun Ayenew & TEFERI, Ethiopia & HAILU, Tesfaye
June 2019, Volume 23, Issue 2
- 6-31 Prospects And Challenges Facing Frontier Stock Markets In The Western Balkans: Quo Vadis?
by STEFANOVA, St. Julia - 37-55 Analysis Of The Relationship Between Tax Revenue And Gross Value Added In The Romanian Economy
by OGNERU, Victor - 61-74 The Pension Formula In Romania €“ Inefficiencies And Possible Solutions
by DUMITRESCU, Bogdan-Andrei & DRAGHIA, Andreea Elena - 75-96 Contagion Pattern Identification Through Minimum Spanning Trees During The Asian Financial Crisis
by MARICA, Vasile-George - 97-113 Testing The Validity Of Fama French Five Factor Asset Pricing Model: Evidence From Turkey
by ZEREN, Feyyaz & YILMAZ, Tayfun & BELKE, Murat - 116-129 The Impact Of Capital Market On The Economic Growth In Oman
by ALAM, Md. Shabbir & HUSSEIN, Muawya Ahmed
March 2019, Volume 23, Issue 1
- 6-24 The Impact Of Corporate Governance Mechanisms On The Performance Of Commercial Banks: The Case Of Private Banks In Ethiopia
by YIHUN, Wondimeneh Asrat & KOLECH, Abiy Getahun & TOLE, Million Gizaw - 25-38 The Effect Of Risk Management On Financial Performance Of Commercial Banks In Ethiopia
by TASSEW, Abel Worku & HAILU, Aregu Asmare - 39-55 An Econometric Analysis Of Determinants Of Debt Sustainability In Ethiopia
by ALEME, Timkete - 56-81 Limitations Of Outcome Based Accounting Curriculum In Ethiopia
by MERSHA, Deresse & GETAHUN, Mohammed
December 2018, Volume 22, Issue 4
- 6-24 Monetary Integration Beyond Theory-Euro Area Practical Achievements
by CRISTE, Adina - 25-40 Estimating The Credit Risk Score For Non Bank Stock Exchange Intermediaries In The Eventuality Of Changeover To Euro Currency
by BARANGA, Laurentiu Paul & PANAIT, Iulian - 41-56 Vulnerabilities Of The Romanian Economy Generated By The Foreign Trade, The External Debt And The Exchange Rate After Romania’S Accession To The European Union
by MILEA, Camelia
September 2018, Volume 22, Issue 3
- 6-22 Does Corporate Social Responsibility Lead To Superior Performance?
by LIU, Shu-Bing & KANG, Hsin-Hong & HSUEH, Shun-Jen - 27-40 A Comparative Study Of The Volatility And Efficiency Of Commodity Futures Index Roll Methods
by AROSKAR, Rajarshi (Raj) & OGDEN, A. William - 41-55 The Impact Of Investment Diversification On Financial Performance Of Commercial Banks In Ethiopia
by HAILU, Aregu Asmare & TASSEW, Abel Worku - 56-65 The Incidence Of Insurance On Economic Growth In Italy, France, United Kingdom And Romania
by COSTACHE, Bianca
June 2018, Volume 22, Issue 2
- 6-37 High-Speed Technology Trading Innovations And Capital Market Performance In Bulgaria
by STEFANOVA, Julia - 38-51 A Risk Assessment Framework For Alternative Investment Funds, Both At Fund Level And Market Level
by PANAIT, Iulian & BARANGA, Paul - 52-64 Romania'S External Debt: Trend And Characteristics After The Accession To The European Union
by MILEA, Camelia - 65-76 Theoretical And Practical Approaches To Fiscal Consolidation - The Experience Of Romania
by LEONIDA, Ionel
2018, Volume 22, Issue 1
- 6-19 Development Of Periodic Loan Repayment Models Considering Rhythmic Skips
by EROGLU, Abdullah & ERDAS, Mehmet Levent - 20-31 Modeling Asymmetric Volatility In The Chicago Board Options Exchange Volatility Index
by URAL, Mert & DEMİRELİ, Erhan - 32-52 Analysis Of How The European Stock Markets Perceive The Dynamics Of Macroeconomic Indicators Through The Sentiment Index And The Purchasing Managers' Index
by LUPU, Iulia - 53-63 Investment And The Golden Rule In The European Union
by MARINESCU, Ada Cristina - 64-86 Using The Symmetric Models Garch (1.1) And Garch-M (1.1) To Investigate Volatility And Persistence For The European And Us Financial Markets
by DUȚĂ, Violeta
2017, Volume 21, Issue 4
- 6-26 A Note On The Relationship Linking Remittances And Financial Development In Pakistan
by KHURSHID, Adnan & KEDONG, Yin & CĂLIN, Adrian Cantemir & POPOVICI, Oana Cristina - 27-45 The Effects Of Financial Risk Management On Firm’S Value: An Empirical Evidence From Borsa Istanbul Stock Exchange
by ŞENOL, Zekai & KARACA, Süleyman Serdar & ERDOĞAN, Seda - 46-64 Special Tax Regimes In Taxing Small And Micro Business Activities: Theoretical Approaches And Patent Tax Experience
by TIMUŞ, Angela & IORDACHI, Victoria & COCIUG, Victoria - 65-81 A Look At The Evolution And Characteristics Of The Romanian Foreign Debt Over The Past Years
by MILEA, Camelia
2017, Volume 21, Issue 3
- 6-18 Long Memory In Turkish Stock Market And Effects Of Central Banks’ Announcements
by ERER, Elif & ERER, Deniz - 19-31 The Nexus Of Treasury Single Account Policy In Nigeria: An Exploratory Discourse
by BADEJO, Bamidele A. & OLUWASEYI, Adelowokan A. & TAIWO, Morenike R. - 32-44 Did Manager Behave Overconfidently?
by RAHARJA, Bayu Sindhu & SUHAELI, Dahli & MRANANI, Muji - 45-59 The Virtual Currency And Financial Blockchain Technology. Current Trends In Digital Finance
by MANTA, Otilia & POP, Napoleon
2017, Volume 21, Issue 2
- 6-30 The Effect Of Enterprise Risk Management On Firm Performance: A Case Study On Turkey
by ŞENOL, Zekai & KARACA, Süleyman Serdar - 31-55 Meta-Analytic Review Of The Relation Between Board Globalization And Firm Performance
by YAGLI, Ibrahim & ŞİMŞEK, Burcu - 56-69 Rethinking A Global Sustainable Monetary Policy In A Post-Crisis Era
by CRISTE, Adina
2017, Volume 21, Issue 1
- 6-27 Is Minsky’S Instability Hypothesis Acceptable For The Relation Between Borrowing Rate And Profitability?
by KORKMAZ, Özge - 28-40 Relative Price Variability And Inflation In Turkey: Results From Kalman Filter Estimation
by YAMAK, Rahmi & ERDEM, Havvanur Feyza & KOÇAK, Sinem - 41-62 Tracking Financial Bubbles On Romania Stock Market
by MITRACHE, Mihai-Andrei & BOITOUT, Nicolas - 63-70 The Unemployment Rate – An Elusive Indicator
by CRIVEANU, Maria Magdalena
2016, Volume 20, Issue 4
- 6-16 Systemic Risk And Cojumps In High Frequency Data
by LUPU, Radu & MATEESCU, Alexandra - 17-36 Exchange Rate Evolution In Romania - Effects On The Financial-Monetary Market
by MILEA, Camelia - 37-51 Theoretical Aspects Regarding The Tax Facilities For Enterprises In Romania And Some Eu Member States
by MIHĂILĂ, Nicoleta - 54-68 Fiscal Responsibility Within An Unstable Economic And Political Environment
by CIUMARA, Tudor
2016, Volume 20, Issue 3
- 6-27 Does Economic Crisis Affect The Demand For Money: Evidence From Croatia?
by SVILOKOS, Tonći - 28-38 Measuring Financial Systemic Stress In Romania: A Composite Indicator Approach
by NAGY, Ágnes & DÉZSI-BENYOVSZKI, Annamária & SZÉKELY, Imre - 40-79 The Impact Of Corporate Governance On Cash Holdings: A Comparative Study Of The Manufacturing And Service Industry
by KHAN, Asad & BIBI, Memoona & TANVEER, Sarfaraz - 80-94 Fractional Cointegration Analysis Of Stock Market And Exchange Rates: The Case Of Turkey
by ERER, Deniz & ERER, Elif & GÜLEÇ, Tuna Can - 95-107 The Impact Of The Domestic And Foreign Macroeconomic News Announcements On The Turkish Stock Market
by GOK, Ibrahim Yasar & TOPUZ, Sefa
2016, Volume 20, Issue 2
- 6-24 Who Drives Whom? Investigating The Relationship Between The Major Stock Markets
by EVRIM MANDACI, Pinar & CAGLI, Efe Caglar - 25-34 Considerations On The Distribution Of Informal Economy In The European Union
by MIHĂILĂ, Teodora - 35-54 The Effects Of Profitability Ratios On Debt Ratio: The Sample Of The Bist Manufacturing Industry
by KORKMAZ, Özge - 55-64 Political Ideology And Fiscal Policy. The Case Of Romania
by CIUMARA, Tudor - 55-64 The Monetary Authorithy And Electoral Cycle In Romania, At A Glance
by CRISTE, Adina - 79-90 Optimization Of Monetary Creation By Linking Monetary Policies With Commercial Banks' Strategies
by COCIUG, Victoria & TIMOFEI, Olga
2016, Volume 20, Issue 1
- 6-20 Analysis Of The Relationship Between Disclosure Quality And Dividend Payouts From The Agency Theory Perspective
by LIN, Dan & KUO, Hsien-Chang & WANG, Lie-Huey - 21-36 Does Earnings Management Change After The Adoption Of The Ifrs? Evidence From Romania
by BRAD, Laura & CIOBANU, Radu & DOBRE, Florin - 37-53 The Factors Affecting Credit Bubbles: The Case Of Turkey
by KORKMAZ, Özge & ERER, Elif & ERER, Deniz - 54-68 Forecasting The Total Index Of Tehran Stock Exchange
by EMAMVERDI, Ghodratollah & KARIMI, Mohammad Sharif & KHAKIE, Sima & KARIMI, Mojtaba - 69-89 Macroeconomic Determinants Of Stock Market Development: Evidence From Borsa Istanbul
by BAYAR, Yılmaz - 90-106 Efficiency Of The Algerian Banks In The Post Liberalization Period
by HACINI, Ishaq & DAHOU, Khadra
2015, Volume 19, Issue 4
- 6-20 The Relationship Between Price-Trade Volume And Weather Effect In Istanbul Stock Exchange: Asymmetric Causality Test Analysis
by TUNA, Gülfen & BEKTUR, Çisem - 21-31 Fiscal Rules: Reasons And Evolution
by LUPU, Iulia - 32-46 Social Inclusion Developments - A European Cross-Country Perspective
by BOITAN, Iustina Alina & COSTICĂ, Ionela - 47-64 Evolution Of Taxation At Microeconomic Level In The Period 2003-2014
by MIHĂILĂ, Nicoleta - 65-92 An Empirical Study Of Relationship Between Share Price And Intrinsic Value Of Company
by LAI, Ping-fu (Brian) & WONG , Wing Ka - 93-103 Modeling The Informal Economy: A Review
by MIHĂILĂ, Teodora
2015, Volume 19, Issue 3
- 8-24 Monetary Policy Effectiveness In Stimulating The Cees Credit Recovery
by OLTEANU, Dan - 79-90 The Effects Of The Federal Reserve’S Tapering Announcements On The Us Real Estate Market
by CĂLIN, Adrian Cantemir - 91-106 The Fiscal Framework In Romania – The Efficiency Of Fiscal Rules
by DUMITRESCU, Bogdan Andrei
2015, Volume 19, Issue 2
- 8-16 A Copula-Garch Model For A Proxy Portfolio For Bet-Fi Index
by ACATRINEI, Marius - 17-29 Central Bank Policy During Times Of Financial Instability - Experiences Of Some Eurosystem’S Candidates
by CRISTE, Adina - 30-50 European Equity Market Return, Volatility And Liquidity Spillover Dynamics During The Eurozone Debt Crisis
by DUMITRESCU, Sorin - 51-66 Financial Integration In The Euro Area And Smes’ Access To Finance: Evidence Based On Aggregate Survey Data
by MOSCALU, Maricica - 67-77 Modelling And Predicting The Indirect Taxes In Romania
by SIMIONESCU, Mihaela - 78-91 Theoretical And Practical Aspects Regarding The Tensions On The Monetary Market From Romania – Brief Analysis Of The Exchange Rate
by AILINCĂ, Alina Georgeta - 92-103 Public Revenues And Social Polarization In Romania
by DOBRE, Alin Stelian - 104-113 Brief Analysis Of The Path From Bankbased Financial Intermediation To Securitization
by ALEXANDRU, Andreea
2015, Volume 19, Issue 1
- 8-20 An Optimality Assessment Of The Fiscal Consolidation Process Initiated By Romania In 2010
by DUMITRESCU, Bogdan Andrei - 21-39 Determinants Of Sustainable Banks’ Profitability. Evidence From Eu Countries
by BOITAN, Iustina Alina - 40-52 Testing For Bubbles In The Housing Market: Further Evidence From Turkey
by ZEREN, Feyyaz & ERGÜZEL, Oylum Şehvez - 53-66 Connection Of European Economic Growth With The Dynamics Of Volatility Of Stock Market Returns
by CĂLIN, Adrian Cantemir - 67-79 A Volatility Analysis Of The Euro Currency And The Bond Market
by POPOVICI, Oana Cristina - 80-92 Liquidity And Informational Inefficiency. The Case Of Romania
by CIOACĂ, Sorin-Iulian - 93-101 Approaches Of Public Finance Sustainability Taking Into Account The Current Economic Context
by ADAM, Alexandra - 102-120 Connections Between Foreign Direct Investments And Research-Developmentinnovation Activity
by MILEA, Camelia
2014, Volume 18, Issue 4
- 8-18 Financial Innovations And Prudential Regulation - Impact Of New Rules Of Basel Iii
by COCIUG, Victoria & DOGOTARI (Postolache), Victoria - 19-30 Romanian Financial Market’S Reaction To Fed Tapering Talk During 2013
by PANAIT, Iulian - 31-51 Measuring The Financial Performance Of The European Systemically Important Banks
by TOMULEASA, Ioana-Iuliana & COCRIŞ, Vasile - 52-62 Comparative Analysis Regarding The Enterprises Taxation In Romania And Some European Union Member States
by MIHAILA, Nicoleta - 63-104 The Imminent Housing Collapse - Will History Repeat Itself?
by LAI, Ping-fu (Brian) & CHAN, Ho Sum
2014, Volume 18, Issue 3
- 8-24 Assessing The Forecasts Accuracy Of The Weight Of Fiscal Revenues In Gdp For Romania
by SIMIONESCU, Mihaela - 25-32 Investigating The Determinants Of Long-Run Sovereign Rating
by MIRICESCU, Emilian - Constantin - 33-44 Evaluation Of The Fiscal Conformance In Romania In The Pre And Post Eu Accession
by LEONIDA, Ionel - 45-57 Automatic Social Stabilizers What They Are And How They Function
by AILINCA, Alina Georgeta - 58-75 Reference Points For Financial Instability In The Euro Zone Candidates Countries
by CRISTE, Adina - 76-88 Testing Stock Markets’ Integration From Central And Eastern European Countries Within Euro Zone
by CHIRILA, Viorica & CHIRILA, Ciprian - 89-101 Co-Movements Of Regime Shifts In Gbp Currency Pairs Around Boe Quantitative Easing Announcements
by LUPU, Radu & CALIN, Adrian Cantemir
2014, Volume 18, Issue 2
- 8-17 The Currency Crisis Trigger Of The Romanian Financial Crisis Of 2008
by SOVIANI, Radu - 18-28 Monetary Policy Force Effect By Means Of Banks Money Creation
by COCIUG, Victoria & TIMOFEI, Olga - 29-68 A Study Of Chinese Yuan (Rmb) Appreciation Accompanying With Others Factors Including Foreign Direct Investment (Fdi) And Their Effect On China Economy
by LAI, Ping-fu (Brian) & CHOI, Kam Hung William - 69-79 A Mixed Frequency Analysis Of Connections Between Macroeconomic Variables And Stock Markets In Central And Eastern Europe
by LUPU, Radu & CALIN, Adrian Cantemir - 80-93 Economic And Financial Risk Taking In Central And Eastern European Countries
by LUPU, Iulia
2014, Volume 18, Issue 1
- 8-19 A Point Of View On The Logic Modelling Of The Financial Network
by DIMITRIU, Mihail - 20-27 About The Fiscal Culture Consolidation In Romaniaduring The Communist And Post- Communist Period
by LEONIDA, Ionel - 28-40 Aspects Of The Euro Area Financial System Fragmentation
by ALINICA, Alina Georgeta - 41-57 The Current Account Of Romania Evolution, Factors Of Influence, Financing
by MILEA, Camelia
2013, Volume 17, Issue 4
- 8-21 The Determinants Of Banking System Vulnerability In The Republic Of Moldova
by CLICHICI, Dorina - 22-34 The Access To Finance In Moldova - Banking Compared To Microfinance Organizations
by POPA, Viorica - 35-47 A General Assessment Of The Monetary Integration Process In Europe After Euro Adoption
by CRISTE, Adina