Details about Nicu Sprincean
Access statistics for papers by Nicu Sprincean.
Last updated 2023-12-29. Update your information in the RePEc Author Service.
Short-id: psp167
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Working Papers
2023
- Fiscal Rules, Independent Fiscal Institutions, and Sovereign Risk
Working Papers of Romania Fiscal Council, Romania Fiscal Council
2022
- ESG and Systemic Risk
Swiss Finance Institute Research Paper Series, Swiss Finance Institute View citations (13)
See also Journal Article ESG and systemic risk, Applied Economics, Taylor & Francis Journals (2023) View citations (8) (2023)
- External Wealth of Nations and Systemic Risk
Swiss Finance Institute Research Paper Series, Swiss Finance Institute
2020
- An evaluation of IFIs impact on EU countries budget deficits
Working Papers of Romania Fiscal Council, Romania Fiscal Council View citations (1)
- Central bank independence and systemic risk
BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT) 
See also Journal Article Central Bank Independence and Systemic Risk, International Journal of Central Banking, International Journal of Central Banking (2022) View citations (3) (2022)
- Risk Spillovers and Interconnectedness between Systemically Important Institutions
Swiss Finance Institute Research Paper Series, Swiss Finance Institute 
See also Journal Article Risk spillovers and interconnectedness between systemically important institutions, Journal of Financial Stability, Elsevier (2022) View citations (23) (2022)
- The COVID-19 Pandemic and Sovereign Bond Risk
Swiss Finance Institute Research Paper Series, Swiss Finance Institute View citations (8)
See also Journal Article The COVID-19 Pandemic and Sovereign Bond Risk, The North American Journal of Economics and Finance, Elsevier (2021) View citations (20) (2021)
Journal Articles
2023
- ESG and systemic risk
Applied Economics, 2023, 55, (27), 3085-3109 View citations (8)
See also Working Paper ESG and Systemic Risk, Swiss Finance Institute Research Paper Series (2022) View citations (13) (2022)
- ESG performance and banks’ funding costs
Finance Research Letters, 2023, 54, (C)
- Institutional determinants of households’ financial investment behaviour across European countries
Economic Analysis and Policy, 2023, 77, (C), 300-325
- The role of institutional investors in the financial development
Economic Change and Restructuring, 2023, 56, (1), 345-378 View citations (1)
2022
- Central Bank Independence and Systemic Risk
International Journal of Central Banking, 2022, 18, (1), 81-130 View citations (3)
See also Working Paper Central bank independence and systemic risk, BOFIT Discussion Papers (2020) (2020)
- Do independent fiscal institutions cause better fiscal outcomes in the European Union?
Economic Systems, 2022, 46, (2) View citations (9)
- Risk spillovers and interconnectedness between systemically important institutions
Journal of Financial Stability, 2022, 58, (C) View citations (23)
See also Working Paper Risk Spillovers and Interconnectedness between Systemically Important Institutions, Swiss Finance Institute Research Paper Series (2020) (2020)
- The Nexus between Bank M&As and Financial Development
Journal for Economic Forecasting, 2022, (2), 5-28
- The effects of macroprudential policies on credit growth
The European Journal of Finance, 2022, 28, (10), 964-996 View citations (1)
2021
- Cyclical behaviour of systemic risk in the banking sector
Applied Economics, 2021, 53, (13), 1463-1497 View citations (6)
- Determinants of Bank M&As in Central and Eastern Europe
JRFM, 2021, 14, (12), 1-19 View citations (1)
- The COVID-19 Pandemic and Sovereign Bond Risk
The North American Journal of Economics and Finance, 2021, 58, (C) View citations (20)
See also Working Paper The COVID-19 Pandemic and Sovereign Bond Risk, Swiss Finance Institute Research Paper Series (2020) View citations (8) (2020)
2020
- On Becoming an O-SII (“Other Systemically Important Institution”)
Journal of Banking & Finance, 2020, 111, (C) View citations (2)
- The impact of central bank transparency on systemic risk—Evidence from Central and Eastern Europe
Research in International Business and Finance, 2020, 51, (C) View citations (10)
2019
- EARLY WARNING INDICATORS FOR MACROFINANCIAL ACTIVITY IN ROMANIA
Review of Economic and Business Studies, 2019, (23), 137-162
2017
- DO SEASONAL ANOMALIES STILL EXIST IN CENTRAL AND EASTERN EUROPEAN COUNTRIES? A CONDITIONAL VARIANCE APPROACH
Journal for Economic Forecasting, 2017, (4), 60-83 View citations (4)
2016
- Changes of Executives and Ownership in a Romanian Small Bank: an Event Study Approach
EuroEconomica, 2016, (1(35)), 36-46
- THE EFFECT OF MAJOR EVENTS ON BANK SHARE PRICE IN ROMANIA
Annals of Faculty of Economics, 2016, 1, (1), 747-757
2015
- IS CAPM AN EFFICIENT MODEL? ADVANCED VERSUS EMERGING MARKETS
EURINT, 2015, 2, 203-214 View citations (2)
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