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Details about Dan Armeanu

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Workplace:Departamentul Finante (Department of Finance), Facultatea de Finante, Asigurari, Banci şi Burse de Valori (Faculty of Finance, Insurance, Banking and Asset Markets), Academia de Studii Economice din Bucureşti (Bucharest Academy of Economic Studies), (more information at EDIRC)

Access statistics for papers by Dan Armeanu.

Last updated 2014-06-04. Update your information in the RePEc Author Service.

Short-id: par190


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Journal Articles

2014

  1. The Optimal Hedging Ratio for Non-Ferrous Metals
    Journal for Economic Forecasting, 2014, (1), 105-122 Downloads

2013

  1. An empirical analysis of the causality relationship between insurance and economic growth
    Theoretical and Applied Economics, 2013, 3(580)(supplement), (3(580)(supplement)), 17-29 Downloads
  2. The Analysis of the Correlation Intensity Between Emerging Market During Economic Crisis
    Romanian Statistical Review Supplement, 2013, 61, (2), 307-318 Downloads

2012

  1. APPLICATION OF THE PRINCIPAL COMPONENTS ANALYSIS TECHNIQUE ON ROMANIAN INSURANCE MARKET
    Revista Economica, 2012, Supplement, (4), 99-106 Downloads
  2. Analysis of the Romanian Capital Market in the Context of Market Globalization
    Romanian Statistical Review Supplement, 2012, 60, (2), 336-340 Downloads
  3. FINANCIAL CRISIS IMPACT ON THE DEVELOPMENT OF THE ROMANIAN CAPITAL MARKET
    Internal Auditing and Risk Management, 2012, 1, (26), 54-62 Downloads
  4. Methods to Fund Technical Reserves in General Insurances
    Romanian Statistical Review Supplement, 2012, 60, (2), 424-430 Downloads
  5. Study Regarding Fiscal Policy – Corporative Social Responsibility Correlation
    Theoretical and Applied Economics, 2012, XVIII(2012), (4(569)), 5-16 Downloads
  6. Using Quantitative Data Analysis Techniques for Bankruptcy Risk Estimation for Corporations
    Theoretical and Applied Economics, 2012, XVIII(2012), (1(566)), 97-112 Downloads

2011

  1. Characteristics of Criteria for Selecting Investment Projects under Uncertainty
    Theoretical and Applied Economics, 2011, XVIII(2011), (7(560)), 5-18 Downloads
  2. FISCAL POLICY IMPACT UPON EUROPEAN AND NATIONAL ENTREPRENEURIAL ENVIRONMENT
    Theoretical and Applied Economics, 2011, 5(558)(supplement), (5(558)(supplement)), 352-359 Downloads
  3. FUNDAMENTING OF AN AGGREGATE INDICATOR FOR CLASSIFYING ENTERPRISES BASED ON THEIR FINANCIAL RESULTS
    Theoretical and Applied Economics, 2011, 5(558)(supplement), (5(558)(supplement)), 235-242 Downloads
  4. OPTIMIZING THE PORTFOLIO OF ASSETS, ACCORDING TO THE MARKOWITZ MODEL
    Internal Auditing and Risk Management, 2011, 30, (2(22)), 8-14 Downloads
  5. Romanian Economic Environment Entrepreneurial Activities Analysis and Risk Evaluation
    Theoretical and Applied Economics, 2011, XVIII(2011), (5(558)), 135-146 Downloads
  6. USAGE OF THE MAIN COMPONENTS ANALYSIS IN THE MANAGEMENT OF THE INVESTMENT PORTFOLIO
    Internal Auditing and Risk Management, 2011, 23, (3), 61-70 Downloads

2010

  1. USING THE MARKET MODEL ON ROMANIAN STOCK EXCHANGE
    Internal Auditing and Risk Management, 2010, 4, (20), 9 - 16 Downloads

2009

  1. EMPIRICAL STUDY ON THE PERFORMANCES OF BLACK-SCHOLES MODEL FOR EVALUATING EUROPEAN OPTIONS
    Journal for Economic Forecasting, 2009, 6, (1), 48-62 Downloads
  2. STUDY REGARDING THE IMPACT OF THE CORPORATE SOCIAL RESPONSIBILITY UPON FIRMS' FINANCIAL PERFORMANCE
    Theoretical and Applied Economics, 2009, 12(541)(supplement), (12(541)(supplement)), 475-482 Downloads View citations (1)
  3. Some Aspects Regarding the Analysis of the Life Insurance Market
    Theoretical and Applied Economics, 2009, 03(532), (03(532)), 41-48 Downloads
  4. Substantiating the Incurred but not Reported Reserve
    Theoretical and Applied Economics, 2009, 12(541), (12(541)), 19-24 Downloads
  5. Using the Multivariate Data Analysis Techniques on the Insurance Market
    Journal for Economic Forecasting, 2009, (4), 170-179 Downloads View citations (1)

2008

  1. Application of Discriminant Analysis on Romanian Insurance Market
    Theoretical and Applied Economics, 2008, 11(528), (11(528)), 51-62 Downloads View citations (1)
  2. Application of the Model of Principal Components Analysis on Romanian Insurance Market
    Theoretical and Applied Economics, 2008, 6(523), (6(523)), 11-20 Downloads
  3. BANKING CRISES AND THEIR IMPLICATIONS ON THE FINANCIAL SYSTEM
    Theoretical and Applied Economics, 2008, 11(528)(supplement), (11(528)(supplement)), 244-249 Downloads
  4. Finances, in the Light of Utility and Equity Criteria
    Theoretical and Applied Economics, 2008, 8(525), (8(525)), 03-08 Downloads
  5. Interest Rate Risk Management using Duration Gap Methodology
    Theoretical and Applied Economics, 2008, 1(518), (1(518)), 3-10 Downloads View citations (1)
  6. Management of Portfolio Investment Held by Pension Funds
    Theoretical and Applied Economics, 2008, 9(526), (9(526)), 21-30 Downloads

2007

  1. APPLYING THE BINOMIAL MODEL IN CASE OF EVALUATING CERTAIN DERIVATIVES
    Theoretical and Applied Economics, 2007, 11(516)(supplement)(vol2), (11(516)(supplement)(vol2)), 49-54 Downloads
  2. Foreign Exchange Risk in International Transactions
    Theoretical and Applied Economics, 2007, 3(508), (3(508)), 65-70 Downloads
  3. Usage of Option Contracts for Foreign Exchange Risk Management
    Theoretical and Applied Economics, 2007, 6(511), (6(511)), 27-32 Downloads
  4. VaR Methodology Application for Banking Currency Portfolios
    Theoretical and Applied Economics, 2007, 2(507), (2(507)), 83-92 Downloads
 
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