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Details about Filip Teodor Iorgulescu

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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 University of Economic Studies), (more information at EDIRC)

Access statistics for papers by Filip Teodor Iorgulescu.

Last updated 2019-06-20. Update your information in the RePEc Author Service.

Short-id: pio15


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Working Papers

2016

  1. Do Investors Listen to Fiscal Policy? – Study case Bucharest Stock Exchange
    MPRA Paper, University Library of Munich, Germany Downloads

2015

  1. The Study of Public Debt. Which Are the Distinctions between the Emerging and Advanced Economies in the European Union?
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article The study of public debt: which are the distinctions between the emerging and advanced economies in the European Union?, Empirica, Springer (2016) Downloads (2016)

2009

  1. Value at Risk: A Comparative Analysis
    Advances in Economic and Financial Research - DOFIN Working Paper Series, Bucharest University of Economics, Center for Advanced Research in Finance and Banking - CARFIB Downloads View citations (2)

Journal Articles

2016

  1. The study of public debt: which are the distinctions between the emerging and advanced economies in the European Union?
    Empirica, 2016, 43, (1), 167-196 Downloads
    See also Working Paper The Study of Public Debt. Which Are the Distinctions between the Emerging and Advanced Economies in the European Union?, MPRA Paper (2015) Downloads (2015)

2015

  1. Evaluating the performance of volatility forecasts with the aid of statistical criteria
    Theoretical and Applied Economics, 2015, XXII, (Special(II)), 211-220 Downloads
  2. Investigating Contagion and Market Interdependence during the Global Financial Crisis
    Central European Business Review, 2015, 2015, (2), 31-39 Downloads

2012

  1. Cultural heritage evaluation: a reappraisal of some critical concepts involved
    Theoretical and Applied Economics, 2012, XVIII(2012), (12(577)), 61-72 Downloads View citations (5)
  2. THE STYLIZED FACTS OF ASSET RETURNS AND THEIR IMPACT ON VALUE-AT-RISK MODELS
    Revista Economica, 2012, Supplement, (4), 360-368 Downloads

2011

  1. Considerations regarding the Valuation and Valorization of Cultural Heritage
    Theoretical and Applied Economics, 2011, XVIII(2011), (12(565)), 15-32 Downloads View citations (1)
  2. EVALUATION OF CULTURAL HERITAGE – FROM THE EPISTEMOLOGICAL PRECAUTIONS TO PRAGMATIC APPROACHES
    International Conference Modern Approaches in Organisational Management and Economy, 2011, 5, (1), 218-223 Downloads
  3. RECOMMENDATIONS FOR THE IMPROVEMENT OF THE ANTI-MONEY LAUNDERING REGIME
    Theoretical and Applied Economics, 2011, 5(558)(supplement), (5(558)(supplement)), 95-104 Downloads

2009

  1. FINANCIAL CRIME AND THE SECURIZATION OF BANKING CIRCUITS IN ORDER TO PREVENT AND FIGHT AGAINST MONEY LAUNDERING
    Theoretical and Applied Economics, 2009, 12(541)(supplement), (12(541)(supplement)), 34-44 Downloads

2008

  1. A model for generating efficient investment portfolios for the insurance companies on the Romanian market
    Theoretical and Applied Economics, 2008, 11(528)(supplement), (11(528)(supplement)), 166-172 Downloads
 
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