Details about Leonardo Badea
Access statistics for papers by Leonardo Badea.
Last updated 2020-03-09. Update your information in the RePEc Author Service.
Short-id: pba795
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Journal Articles
2019
- A Markov Regime Switching Approach towards Assessing Resilience of Romanian Collective Investment Undertakings
Sustainability, 2019, 11, (5), 1-24 View citations (3)
- Correlation of military expenditures and economic growth: lessons for Romania
Quality & Quantity: International Journal of Methodology, 2019, 53, (6), 2957-2968 View citations (8)
2013
- Need to implement corporate governance in the Romanian companies
Theoretical and Applied Economics, 2013, XX, (4(581)), 63-72 View citations (2)
- Productivity change patterns in the Romanian banking system – the impact of size and ownership on total factor productivity
Theoretical and Applied Economics, 2013, XX, (6(583)), 35-52 View citations (4)
2012
- Impact of the Financial Crisis on the Romanian Capital Market in the European Context
Theoretical and Applied Economics, 2012, XVIII(2012), (3(568)), 27-40 View citations (3)
2011
- Aligning Balanced Scorecard to Collaborative Management in Consumer Goods Supply Chain
Romanian Distribution Committee Magazine, 2011, 2, (2), 33-47
- Does Corporate Governance Impact Risk Management System?
Theoretical and Applied Economics, 2011, XVIII(2011), (4(557)), 49-64 View citations (3)
- INSTRUMENTS AND TECHNIQUES USED IN THE IMPLEMENTATION OF NATURAL DISASTER RISK RESPONSE PROJECT
Polish Journal of Management Studies, 2011, 4, (1), 1-238 View citations (1)
- Mathematical Approach of an Oligopol Model
Ovidius University Annals, Economic Sciences Series, 2011, XI, (1), 505-510
- Measurement of National Non-Visible Wealth through Intellectual Capital
Journal for Economic Forecasting, 2011, (3), 200-212 View citations (7)
- Structural reforms proposed by the International Monetary Fund and their impact on Romanian economy during the last financial crisis
Review of Applied Socio-Economic Research, 2011, 1, (2), 44-52
- THE FINANCIAL SUPPLY CHAIN MANAGEMENT: A RESPONSE TO THE NEW ECONOMY – CRISIS AND RECESSION ECONOMY
Advanced Logistic systems, 2011, 5, (1), 101-111
2010
- Integral Analysis as System of Measurement and Management of Intellectual Capitals in Companies
Theoretical and Applied Economics, 2010, 9(550), (9(550)), 5-16
- Knowledge Management – the Key Resource in the Knowledge Economy
Theoretical and Applied Economics, 2010, 6(547), (6(547)), 27-36 View citations (1)
- Macroeconomic Impact on CEE Corporate Profitability: Analysis at the Level of Companies Listed on the Bucharest Stock Exchange
Theoretical and Applied Economics, 2010, 10(551), (10(551)), 5-14
- The Role of Empathy in Developing the Leader’s Emotional Intelligence
Theoretical and Applied Economics, 2010, 2(543), (2(543)), 69-78 View citations (4)
2009
- Is there Needed an Industry Approach on Corporate Default Risk? Case Study on Companies Listed on Romanian Stock Exchange
Theoretical and Applied Economics, 2009, 02(531), (02(531)), 61-72
2008
- Characteristics of Managing Operational Banking Risk
Theoretical and Applied Economics, 2008, 12(529), (12(529)), 39-60
- Corporate Rating. Multidimensional Perspective in the Context of the Differentiation in Terms of Localization Criteria. Empirical Perspective on Developed versus Emerging Countries
Theoretical and Applied Economics, 2008, 10(527), (10(527)), 03-16 View citations (2)
- Determining the Efficiency Frontier
Theoretical and Applied Economics, 2008, 2(519), (2(519)), 25-28
- THE ECONOMIC EFFICIENCY OF FIELD CROPS CULTIVATION IN SOUTH ROMANIA: TRENDS AND ACTIONS FOR IMPROVEMENT
Annales Universitatis Apulensis Series Oeconomica, 2008, 1, (10), 34 View citations (5)
2007
- Financial Securities Investments Analysis and Administration of Active Portfolio in Indeterminate Situations
Theoretical and Applied Economics, 2007, 6(511), (6(511)), 15-20
- IMPACT OF ROMANIA'S INTEGRATION INTO EUROPEAN UNION ON THE CAPITAL MARKET IN ROMANIA
Theoretical and Applied Economics, 2007, 6(511)(supplement), (6(511)(supplement)), 223-230
2006
- A New Approach in Rentability and Capital Risk Management
Theoretical and Applied Economics, 2006, 1(496), (1(496)), 73-79
- Analiza comparativa a aplicabilitatii modelelor Markowitz si Sharpe privind gestiunea titlurilor financiare
Theoretical and Applied Economics, 2006, 4(499)(supplement), (4(499)(supplement)), 447-464
- Study about Markowitz Model Applicability on Romanian Stock Exchange Market
Theoretical and Applied Economics, 2006, 9(504), (9(504)), 21-24
- Synthetic Analysis about Single-Criterion and Multi-Criterion Financial Assets Portfolio
Theoretical and Applied Economics, 2006, 6(501), (6(501)), 3-8
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