Details about Adrian Cantemir Calin
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Last updated 2024-02-07. Update your information in the RePEc Author Service.
Short-id: pca1056
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Working Papers
2018
- Can Monetary Policy Lean against Housing Bubbles?
Working Papers, University of Pretoria, Department of Economics View citations (3)
See also Journal Article Can monetary policy lean against housing bubbles?, Economic Modelling, Elsevier (2022) View citations (6) (2022)
- Monetary Policy and Bubbles in US REITs
Working Papers, University of Pretoria, Department of Economics View citations (3)
2017
- The Role of Foreign and Domestic Investment in Promoting Exports and Imports. A Dynamic Panel Approach
Working papers Globalization - Economic, Social and Moral Implications, April 2017, Research Association for Interdisciplinary Studies View citations (1)
2015
- INSIGHTS ON THE COMPETITIVENESS OF THE ROMANIAN LABOUR MARKET. A DESCRIPTION OF THE POVERTY STATE AND THE EFFECTIVENESS OF SOCIAL TRANSFERS (International Conference “EUROPEAN PERSPECTIVE OF LABOR MARKET - INOVATION, EXPERTNESS, PERFORMANCE”)
Institute for Economic Forecasting Conference Proceedings, Institute for Economic Forecasting
- Interactions between financial markets and macroeconomic variables in EU: a nonlinear modeling approach
ERSA conference papers, European Regional Science Association View citations (4)
- The European approach on youth employment. Survey on the ease of finding jobs among the Romanian students in economic sciences (International Conference “EUROPEAN PERSPECTIVE OF LABOR MARKET - INOVATION, EXPERTNESS, PERFORMANCE”)
Institute for Economic Forecasting Conference Proceedings, Institute for Economic Forecasting
2014
- A Nonlinear Model to Estimate the Long Term Correlation between Market Capitalization and GDP per capita in Eastern EU Countries
Working Papers of Institute for Economic Forecasting, Institute for Economic Forecasting View citations (11)
Journal Articles
2024
- Transforming industry: Investigating 4.0 technologies for sustainable product evolution in china through a novel fuzzy three-way decision-making process
Technological Forecasting and Social Change, 2024, 200, (C)
2023
- Green innovation and carbon emissions: the role of carbon pricing and environmental policies in attaining sustainable development targets of carbon mitigation—evidence from Central-Eastern Europe
Environment, Development and Sustainability: A Multidisciplinary Approach to the Theory and Practice of Sustainable Development, 2023, 25, (8), 8777-8798 View citations (3)
- Is Geopolitical Turmoil Driving Petroleum Prices and Financial Liquidity Relationship? Wavelet-Based Evidence from Middle-East
Defence and Peace Economics, 2023, 34, (6), 810-826 View citations (1)
- Natural resource endowment and human development: Contemporary role of governance
Resources Policy, 2023, 81, (C) View citations (11)
2022
- Can monetary policy lean against housing bubbles?
Economic Modelling, 2022, 110, (C) View citations (6)
See also Working Paper Can Monetary Policy Lean against Housing Bubbles?, Working Papers (2018) View citations (3) (2018)
- From gray to green: Energy crises and the role of CPEC
Renewable Energy, 2022, 190, (C), 188-207 View citations (6)
- Pakistan's energy sector—from a power outage to sustainable supply. Examining the role of China–Pakistan economic corridor
Energy & Environment, 2022, 33, (8), 1636-1662
- The Nexus Between Research and Development, Protection of Intellectual Property Rights and Financial Development. A European Perspectiv
The AMFITEATRU ECONOMIC journal, 2022, 24, (Special16), 970 View citations (1)
2021
- FDI Determinants Revisited: Extensive Evidence
Journal for Economic Forecasting, 2021, (4), 103-123
- Systemic Risk Spillovers in the European Energy Sector
Energies, 2021, 14, (19), 1-23 View citations (5)
2020
- Housing markets, monetary policy, and the international co‐movement of housing bubbles
Review of International Economics, 2020, 28, (2), 365-375 View citations (2)
- Is the Relationship between Remittances and Economic Growth Influenced by the Governance and Development of the Financial Sector? New Evidence from the Developing Countries
Journal for Economic Forecasting, 2020, (1), 37-56 View citations (6)
- Modelling energy and carbon emission performance: A constrained performance index measure
Energy, 2020, 197, (C) View citations (5)
- The impact of monetary policy shocks on stock market bubbles: International evidence
Finance Research Letters, 2020, 34, (C) View citations (5)
2019
- A Contemporaneous Statistical Note on E-Commerce Adoption in Romania – Based SMEs
The AMFITEATRU ECONOMIC journal, 2019, 21, (50), 177 View citations (1)
- Do Remittances Contribute to the Development of Financial Institutions? New Evidence from the Developing World
Journal for Economic Forecasting, 2019, (2), 78-97 View citations (6)
- Monetary Policy Effects on Energy Sector Bubbles
Energies, 2019, 12, (3), 1-13 View citations (2)
- Nonlinear Modeling of Financial Stability Using Default Probabilities from the Capital Market
Journal for Economic Forecasting, 2019, (1), 19-37 View citations (2)
2018
- Remittances Inflows, Gain of Foreign Exchange or Trade Loss? New Evidence from Low, Lower-Middle and Middle-Income Groups
Journal for Economic Forecasting, 2018, (1), 20-41 View citations (10)
- The effects of monetary policy on stock market bubbles at zero lower bound: Revisiting the evidence
Economics Letters, 2018, 169, (C), 55-58 View citations (18)
2017
- A NOTE ON THE RELATIONSHIP LINKING REMITTANCES AND FINANCIAL DEVELOPMENT IN PAKISTAN
Studii Financiare (Financial Studies), 2017, 21, (4), 6-26 View citations (2)
- Risk Generating Industries for European Stock Markets
ECONOMIC COMPUTATION AND ECONOMIC CYBERNETICS STUDIES AND RESEARCH, 2017, 51, (4), 5-17 View citations (1)
- The Effects of Workers’ Remittances on Exchange Rate Volatility and Exports Dynamics - New Evidence from Pakistan
Romanian Economic Journal, 2017, 20, (63), 29-52 View citations (6)
- The Impact of the Juncker Plan on Investors’ Beliefs
Journal for Economic Forecasting, 2017, (3), 150-165
2016
- Do Remittances Hurt Domestic Prices? New Evidence from Low, Lower-Middle and Middle–Income Groups
Journal for Economic Forecasting, 2016, (4), 95-114 View citations (8)
- Economic Growth, Foreign Investments and Exports in Romania: A VECM Analysis
Romanian Economic Journal, 2016, 19, (61), 95-122 View citations (7)
- Impact Of FOMC Official Speeches on the Intraday Dynamics of CDS Markets
Journal for Economic Forecasting, 2016, (2), 5-12
- QUANTITATIVE EASING, TAPERING AND STOCK MARKET INDICES
ECONOMIC COMPUTATION AND ECONOMIC CYBERNETICS STUDIES AND RESEARCH, 2016, 50, (3), 5-23 View citations (2)
- TESTING FOR FISCAL CONVERGENCE IN THE EU COUNTRIES
Internal Auditing and Risk Management, 2016, 43, (1), 62-73
- THE EFFECTS OF LABOR MARKET NEWS ON INTERNATIONAL FINANCIAL MARKETS
Romanian Economic Business Review, 2016, 11, (2), 207-215
2015
- Are the Announcements Regarding Macroeconomic Fundamentals Responsible for Changes in the Dynamics of Stock Markets? CEE vs Developed Markets
Hyperion Economic Journal, 2015, 3, (3), 3-13
- CONNECTION OF EUROPEAN ECONOMIC GROWTH WITH THE DYNAMICS OF VOLATILITY OF STOCK MARKET RETURNS
Studii Financiare (Financial Studies), 2015, 19, (1), 53-66 View citations (2)
- Eloquence is The Key – the Impact of Monetary Policy Speeches on Exchange Rate Volatility
Romanian Economic Journal, 2015, 18, (56), 3-18
- SKEWNESS AND COSKEWNESS DYNAMICS FOR THE ROMANIAN STOCK MARKET
Internal Auditing and Risk Management, 2015, 40, (1), 1-18
- THE EFFECTS OF THE FEDERAL RESERVE’S TAPERING ANNOUNCEMENTS ON THE US REAL ESTATE MARKET
Studii Financiare (Financial Studies), 2015, 19, (3), 79-90
- The Effects of Enhancing Competitiveness on FDI Inflows in CEE Countries
European Journal of Interdisciplinary Studies, 2015, (01) View citations (4)
- The Impact of Trade Announcements on Financial Markets. An Event Study Analysis
Journal for Economic Forecasting, 2015, (2), 81-91
2014
- A MIXED FREQUENCY ANALYSIS OF CONNECTIONS BETWEEN MACROECONOMIC VARIABLES AND STOCK MARKETS IN CENTRAL AND EASTERN EUROPE
Studii Financiare (Financial Studies), 2014, 18, (2), 69-79 View citations (6)
- CO-MOVEMENTS OF EUROPEAN STOCK MARKETS USING THE UNIVARIATE MARKOV REGIME SWITCHING MODEL
Internal Auditing and Risk Management, 2014, 36, (1), 33-43 View citations (1)
- CO-MOVEMENTS OF REGIME SHIFTS IN GBP CURRENCY PAIRS AROUND BOE QUANTITATIVE EASING ANNOUNCEMENTS
Studii Financiare (Financial Studies), 2014, 18, (3), 89-101 View citations (4)
- Estimating the Impact of Quantitative Easing On Credit Risk through an ARMA-GARCH Model
Journal for Economic Forecasting, 2014, (3), 39-50 View citations (17)
- FDI theories. A location-based approach
Romanian Economic Journal, 2014, 17, (53), 3-24 View citations (13)
- INVESTIGATING FDI INFLOWS IN ROMANIA THROUGH AN ARMA MODEL
Internal Auditing and Risk Management, 2014, 35, (1), 55-72 View citations (3)
- Lawrence R. Klein and the Economic Forecasting – A Survey
Journal for Economic Forecasting, 2014, (1), 5-14
- MODELING CREDIT RISK THROUGH CREDIT SCORING
Internal Auditing and Risk Management, 2014, 34, (1), 105-116
- Modeling Risk Convergence for European Financial Markets
Hyperion Economic Journal, 2014, 2, (3), 3-12
- Nonlinear Models for Economic Forecasting Applications: An Evolutionary Discussion
Computational Methods in Social Sciences (CMSS), 2014, 2, (1), 42-47 View citations (5)
- TESTING THE PERFORMANCE OF GARCH AND EGARCH MODELS IN THE STUDY OF FOREIGN EXCHANGE RATES OF PUBLIC SERVANTS AND OF THE POPULATION
HOLISTICA Journal of Business and Public Administration, 2014, 5, (1), 54-63 View citations (1)
- To QE or Not to QE? The Japanese Experience
Hyperion Economic Journal, 2014, 2, (2), 3-10 View citations (7)
2013
- Can Member States unlock the national competitiveness through export market share effects?
Theoretical and Applied Economics, 2013, XX, (9(586)), 63-72
- Modalităţi de a îmbunătăţi fluxurile de ISD în ţările din Europa Centrală şi de Est utilizând instrumentele politicii publice
Theoretical and Applied Economics, 2013, XX, (Special II), 346-357 View citations (1)
- Politici de atragere a ISD pentru stimularea economiei. Cazul României şi al Irlandei
Theoretical and Applied Economics, 2013, XX, (Special II), 332-345
2012
- A SURVEY OF THE STRUCTURAL APPROACH IN CREDIT RISK MODELLING
Revista Economica, 2012, Supplement, (4), 107-115 View citations (1)
- ATTRACTIVENESS OF PUBLIC POLICIES FOR FDI IN CENTRAL AND EASTERN EUROPEAN COUNTRIES
Annals of Faculty of Economics, 2012, 1, (1), 61-67 View citations (8)
- COMPETITIVENESS AS DETERMINANT OF FOREIGN DIRECT INVESTMENTS IN CENTRAL AND EASTERN EUROPEAN COUNTRIES
Revista Economica, 2012, Supplement, (1), 658-666 View citations (6)
- Credit Risk Modelling Under the Reduced Form Approach
Ovidius University Annals, Economic Sciences Series, 2012, XII, (1), 1294-1299 View citations (1)
- Innovation in Financial Services – A Theoretical Approach to Sustainable Structural Change
Ovidius University Annals, Economic Sciences Series, 2012, XII, (1), 1762-1767
2011
- THE BEHAVIOUR OF THE DIGITAL CONSUMER
Annals - Economy Series, 2011, 2, 26-33 View citations (2)
Chapters
2019
- FDI Motivations in CEE Countries. The Role of Governance Ethics
Springer
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