Details about Florian Neagu
Access statistics for papers by Florian Neagu.
Last updated 2024-03-08. Update your information in the RePEc Author Service.
Short-id: pne243
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Working Papers
2015
- Implementing Loan-to-Value and Debt Service-To-Income measures: A decade of Romanian experience
MPRA Paper, University Library of Munich, Germany View citations (19)
2013
- Bridging the banking sector with the real economy: a financial stability perspective
Working Paper Series, European Central Bank View citations (6)
- Sudden stop of capital flows and the consequences for the banking sector and the real economy
Working Paper Series, European Central Bank View citations (1)
2003
- Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
International Finance, University Library of Munich, Germany 
Also in Finance, University Library of Munich, Germany (2003)  Others, University Library of Munich, Germany (2003)  Macroeconomics, University Library of Munich, Germany (2003)  Macroeconomics, University Library of Munich, Germany (2003)  International Finance, University Library of Munich, Germany (2003)
Journal Articles
2024
- Are green loans less risky? Micro-evidence from a European Emerging Economy
Journal of Financial Stability, 2024, 70, (C) View citations (3)
2023
- Does it pay off to invest in bank staff training? Survey‐based evidence from an emerging market banking sector
Economics of Transition and Institutional Change, 2023, 31, (4), 1055-1072
2022
- Macroprudential Liquidity Stress Test: How To Cope With Liquidity Drains
Journal for Economic Forecasting, 2022, (4), 96-111 View citations (1)
2017
- Are Expatriates Managing Banks' CEE Subsidiaries More Risk Takers?
Multinational Finance Journal, 2017, 21, (3), 133-175
2010
- Survey evidence on price-setting patterns of Romanian firms
Managerial and Decision Economics, 2010, 31, (2-3), 235-247 View citations (23)
- Trends of the Contagion Risk in Sovereign Spreads for Emerging European Countries
Journal for Economic Forecasting, 2010, (2), 265-279 View citations (1)
2008
- Gross or Net Settlement? What Type of Securities Settlement System Works Best?
Theoretical and Applied Economics, 2008, 8(525), (8(525)), 73-82
2005
- Utilizarea instrumentelor financiare derivate în scopul optimizării activului bancar
Revista OEconomica, 2005, (01)
Chapters
2018
- Adjustments in the balance sheets: is it normal, this ‘new normal’?
Chapter 8 in Debt Default and Democracy, 2018, pp 155-189
2011
- CDS and government bond spreads - how informative are they for financial stability analysis?
A chapter in Proceedings of the IFC Conference on "Initiatives to address data gaps revealed by the financial crisis", Basel, 25-26 August 2010, 2011, vol. 34, pp 415-429 View citations (5)
2007
- Risks to Romanian financial stability stemming from the household sector
A chapter in Proceedings of the IFC Conference on "Measuring the financial position of the household sector", Basel, 30-31 August 2006 - Volume 2, 2007, vol. 26, pp 75-108 View citations (2)
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