Details about Cristi Marcel Spulbar
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Last updated 2025-03-15. Update your information in the RePEc Author Service.
Short-id: psp104
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Working Papers
2018
- Co-movement between stock markets and exchange rates in Central and Eastern Europe
Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences
Journal Articles
2024
- Cross-Border Linkages between the Global Rubber Spot and Futures Markets: India, Malaysia and Thailand, 2016-2022
Regional and Sectoral Economic Studies, 2024, 24, (2), 159-174
- Forecasting Volatility Spillovers Using Advanced GARCH Models: Empirical Evidence for Developed Stock Markets from Austria and USA
Economics and Applied Informatics, 2024, (1), 16-29 View citations (1)
- Investigating the asymmetric impact of artificial intelligence on renewable energy under climate policy uncertainty
Energy Economics, 2024, 137, (C)
- PREDICTIVE ANALYTICS IN FINANCE USING THE ARIMA MODEL. APPLICATION FOR BUCHAREST STOCK EXCHANGE FINANCIAL COMPANIES CLOSING PRICES
Studies in Business and Economics, 2024, 19, (3), 30-49
2023
- A Sustainable Pattern of Waste Management and Energy Efficiency in Smart Homes Using the Internet of Things (IoT)
Sustainability, 2023, 15, (6), 1-18 View citations (3)
- Assessing Volatility Patterns using GARCH Family Models: A Comparative Analysis Between the Developed Stock Markets in Italy and Poland
Economics and Applied Informatics, 2023, (1), 5-11 View citations (1)
- IMPACT OF CULTURAL, ECONOMIC AND TECHNOLOGY ON RISK MANAGEMENT OF CONSTRUCTION COMPANIES IN IRAN
Annals - Economy Series, 2023, 2, 26-39
- INVESTIGATING BARRIERS TO BIM IMPLEMENTATION IN DEVELOPING COUNTRIES WITH AN APPROACH TO ALBERT BANDURA THEORY OF SELF-EFFICACY
Annals - Economy Series, 2023, 2, 62-78
- MEASURING ASYMMETRIC VOLATILITY OF UK, FRANCE, AND GERMAN STOCK MARKETS
Annals - Economy Series, 2023, 1, 134-146 View citations (2)
- Modelling the effect of transformational leadership on entrepreneurial orientation in academic department: the mediating role of faculty members’ speaking up
Economic Research-Ekonomska Istraživanja, 2023, 36, (2), 2167731
- Perceived Attitude of Youth Towards Cryptocurrency Investment: A Case Study for India
Economics and Applied Informatics, 2023, (1), 12-25
- Relationship among leadership styles, employee’s well-being and employee’s safety behavior: an empirical evidence of COVID-19 from the frontline healthcare workers
Economic Research-Ekonomska Istraživanja, 2023, 36, (1), 2173629
- TESTING VOLATILITY CHANGES USING GARCH MODELS IN THE CASE OF NETHERLANDS STOCK MARKET
Annals - Economy Series, 2023, 1, 6-15
- The impact of COVID-19 pandemic on air transport: the case of Virgin Australia airlines
Economic Research-Ekonomska Istraživanja, 2023, 36, (2), 2142259
2022
- A Study on the Acceptance of Mobile-Banking Applications in India—Unified Theory of Acceptance and Sustainable Use of Technology Model (UTAUT)
Sustainability, 2022, 14, (21), 1-16 View citations (1)
- An Approach for Supply Chain Management Contract Selection in the Oil and Gas Industry: Combination of Uncertainty and Multi-Criteria Decision-Making Methods
Mathematics, 2022, 10, (18), 1-20 View citations (1)
- An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study of the Companies Listed on the Iranian Stock Market
JRFM, 2022, 15, (5), 1-30 View citations (5)
- Antecedents to purchase intention in virtual market space in India: an empirical investigation
Cogent Business & Management, 2022, 9, (1), 2003502 View citations (1)
- Digitalization as a Factor in Reducing Poverty and Its Implications in the Context of the COVID-19 Pandemic
Sustainability, 2022, 14, (17), 1-26 View citations (1)
- Do European, Middle-East and Asian Stock Markets Impact on Indian Stock Market? A Case Study Based on NIFTY Stock Index Forecasting
Scientific Annals of Economics and Business (continues Analele Stiintifice), 2022, 69, (4), 599 - 613
- ESTIMATING VOLATILITY CLUSTERING USING GJR-GARCH MODEL: A CASE STUDY FOR GERMAN STOCK MARKET
Annals - Economy Series, 2022, 6, 4-10
- Exploring the antecedents of institutional effectiveness: a case study of higher education universities in India
Economic Research-Ekonomska Istraživanja, 2022, 35, (1), 1162-1182
- Exploring the sustainable effect of mediational role of brand commitment and brand trust on brand loyalty: an empirical study
Economic Research-Ekonomska Istraživanja, 2022, 35, (1), 6422-6444 View citations (1)
- INEFFICIENT STOCK MARKETS AND THEIR IMPLICATIONS IN THE CONTEXT OF EXTREME FINANCIAL EVENTS: A THEORETICAL FRAMEWORK
Annals - Economy Series, 2022, 1, 38-41
- The Impact of Returns and Influence of Crypto Assets on Different Asset Classes
Ovidius University Annals, Economic Sciences Series, 2022, XXII, (1), 969-980
- Turning Crisis into a Sustainable Opportunity Regarding Demand for Training and New Skills in Labor Market: An Empirical Analysis of COVID-19 Pandemic and Skills Upgradation
Sustainability, 2022, 14, (24), 1-14
- Using Econometric Models to Manage the Price Risk of Cocoa Beans: A Case from India
Risks, 2022, 10, (6), 1-18 View citations (2)
2021
- A Critical Survey on Efficient Market Hypothesis (EMH), Adaptive Market Hypothesis (AMH) and Fractal Markets Hypothesis (FMH) Considering Their Implication on Stock Markets Behavior
Ovidius University Annals, Economic Sciences Series, 2021, XXI, (2), 1161-1165 View citations (1)
- A New Hybrid Fuzzy Model: Satisfaction of Residents in Touristic Areas toward Tourism Development
Mathematical Problems in Engineering, 2021, 2021, 1-21 View citations (1)
- Advanced empirical research based on structural equation modeling (SEM) regarding the impact of tax revenue on GDP dynamics at EU-28 level
Scientific Annals of Economics and Business (continues Analele Stiintifice), 2021, 68, (3), 285 - 307 View citations (1)
- An Empirical Investigation into Alarming Signals Ignored by the U.S. Multi-Brand Retailer J. Crew Incorporation during COVID-19 Pandemic
JRFM, 2021, 14, (11), 1-21
- Crude oil futures to manage the price risk of natural rubber: Empirical evidence from India
Agricultural Economics, 2021, 67, (10), 423-434
- Estimating Volatility and Investment Risk: An Empirical Case Study for NIFTY MIDCAP 50 Index of National Stock Exchange (NSE) in India
Ovidius University Annals, Economic Sciences Series, 2021, XXI, (1), 691-696
- FORECASTING ARECA NUT MARKET PRICES USING THE ARIMA MODEL: A CASE STUDY OF INDIA
Annals - Economy Series, 2021, 2, 4-18 View citations (2)
- How COVID-19 has shaken the sharing economy? An analysis using Google trends data
Economic Research-Ekonomska Istraživanja, 2021, 34, (1), 2374-2386 View citations (6)
- Investigating Short and Long Run Volatility Movements in the Context of COVID-19 Pandemic: A Case Study for Norwegian Stock Market
Ovidius University Annals, Economic Sciences Series, 2021, XXI, (2), 1166-1171
- Investigating the Causal Linkages among Inflation, Interest Rate, and Economic Growth in Pakistan under the Influence of COVID-19 Pandemic: A Wavelet Transformation Approach
JRFM, 2021, 14, (6), 1-22 View citations (7)
- Is There a Necessary Prerequisite to Follow Ethical Issues in Entrepreneurship and Business ?
Ovidius University Annals, Economic Sciences Series, 2021, XXI, (1), 426-428
- Ranking of Sustainable Medical Tourism Destinations in Iran: An Integrated Approach Using Fuzzy SWARA-PROMETHEE
Sustainability, 2021, 13, (2), 1-32 View citations (5)
- The Nexus between Sustainable Economic Development and Government Health Expenditure in Asian Countries Based on Ecological Footprint Consumption
Sustainability, 2021, 13, (12), 1-15 View citations (5)
- The impact of online reviews on e-commerce sales in India: a case study
Economic Research-Ekonomska Istraživanja, 2021, 34, (1), 2408-2422 View citations (2)
- Why Do Countries Request Assistance from International Monetary Fund? An Empirical Analysis
JRFM, 2021, 14, (3), 1-19 View citations (2)
2020
- An Effectiveness Assessment of Preventive Management Strategies in order to Manage Non Performing Assets in Indian banks: A Case Study
Scientific Annals of Economics and Business (continues Analele Stiintifice), 2020, 67, (2), 235 - 258 View citations (1)
- Are We Ready for the Challenge of Banks 4.0? Designing a Roadmap for Banking Systems in Industry 4.0
IJFS, 2020, 8, (2), 1-29 View citations (12)
- Business intelligence appraisal based on customer behaviour profile by using hobby based opinion mining in India: a case study
Economic Research-Ekonomska Istraživanja, 2020, 33, (1), 1889-1908 View citations (1)
- Critical Conceptual Analysis on Modern Finance Theories
Ovidius University Annals, Economic Sciences Series, 2020, XX, (2), 1081-1086
- Is there a common path for the integration of European Union banking systems?
Economic Research-Ekonomska Istraživanja, 2020, 33, (1), 399-419 View citations (1)
- Measuring the impact of governance quality on stock market performance in developed countries
Economic Research-Ekonomska Istraživanja, 2020, 33, (1), 3406-3426 View citations (4)
- The Effects of Environment, Society and Governance Scores on Investment Returns and Stock Market Volatility
International Journal of Energy Economics and Policy, 2020, 10, (4), 234-239 View citations (7)
2019
- Analyzing Short Term Momentum Effect on Stock Market of Hong Kong. An Empirical Case Study
Ovidius University Annals, Economic Sciences Series, 2019, XIX, (2), 889-894
- ESTIMATING VOLATILITY SPILLOVERS, DYNAMIC CAUSAL LINKAGES AND INTERNATIONAL CONTAGION PATTERNS BETWEEN DEVELOPED STOCK MARKETS: AN EMPIRICAL CASE STUDY FOR USA, CANADA, FRANCE AND UK
Annals - Economy Series, 2019, 3, 44-62 View citations (4)
- Social Exclusion and Labor Market Integration of People with Disabilities. A Case Study for Romania
Sustainability, 2019, 11, (18), 1-15 View citations (9)
- Trapping Fake Discounts as Drivers of Real Revenues and Their Impact on Consumer’s Behavior in India: A Case Study
Sustainability, 2019, 11, (17), 1-20 View citations (10)
2016
- The Relationship between Bank Efficiency and Risk and Productivity Patterns in the Romanian Banking System
Journal for Economic Forecasting, 2016, (1), 39-53 View citations (3)
2015
- EFFICIENCY IN COOPERATIVE BANKS AND SAVINGS BANKS: A STOCHASTIC FRONTIER APPROACH
Journal for Economic Forecasting, 2015, (1), 5-21 View citations (4)
2014
- Determinants of bank cost efficiency in transition economies: evidence for Latin America, Central and Eastern Europe and South-East Asia
Applied Economics, 2014, 46, (16), 1940-1952 View citations (2)
- Financial nexus: Efficiency and soundness in banking and capital markets
Journal of International Money and Finance, 2014, 47, (C), 100-124 View citations (15)
2013
- Monetary Policy Transmission Mechanism in Romania Over the Period 2001 to 2012: A Bvar Analysis
Scientific Annals of Economics and Business, 2013, 60, (2), 12
2012
- Econophysics - related Remarks in Considering the Necessity of a Distribution Adjustment in the Eurozone Real Economy and Re-modeling its Financial System and Markets. Thermodynamics and Statistical Physics Approach
Journal of Knowledge Management, Economics and Information Technology, 2012, 2, (1), 9
- FINANCIAL STABILITY AND PRICE STABILITY: AN EMPIRICAL ANALYSIS IN EURO AREA
Annals - Economy Series, 2012, 4I, 220-229
- IDENTIFYING THE INDUSTRY BUSINESS CYCLE USING THE MARKOV SWITCHING APPROACH IN CENTRAL AND EASTERN EUROPE
Management and Marketing Journal, 2012, X, (2), 293-300
- Inflation Inertia and Inflation Persistence in Romania Using a DSGE Approach
Scientific Annals of Economics and Business, 2012, 59, (1), 115-124
- THE IMPACT OF POLITICAL AND ECONOMIC NEWS ON THE EURO/RON EXCHANGE RATE: A GARCH APPROACH
Annals - Economy Series, 2012, 4I, 52-58
2011
- The Macroeconomic Performance of Monetary Policies. A Stochastic Simulation Based on the Taylor’s Rule
Journal of Knowledge Management, Economics and Information Technology, 2011, 1, (6), 15
2010
- The analysis of the monetary policy dynamics in Romania using a Structural Vector Autoregressive model
Finante - provocarile viitorului (Finance - Challenges of the Future), 2010, 1, (11), 128-140
- The financial systems – an approach from the perspective of the financial crisis
Annals of University of Craiova - Economic Sciences Series, 2010, 3, (38), 8
- The lending activity and economic growth in Romania in the global crisis context
Finante - provocarile viitorului (Finance - Challenges of the Future), 2010, 1, (12), 76-82
2009
- A MODEL DEDICATED TO FORECAST THE EVOLUTION OF THE REAL ECONOMY AND FINANCIAL MARKETS SYSTEM FROM ROMANIA USING CONCEPTS FROM OPEN SYSTEMS THERMODINAMICS – PROJECT DESCRIPTION*
Revista Tinerilor Economisti (The Young Economists Journal), 2009, 1, (13S), 19-26
- About the US trade deficit and the US “easy money” policy
Finante - provocarile viitorului (Finance - Challenges of the Future), 2009, 1, (10), 178-183
- Analysis of structural and cohesion funds absorption in Romania
Finante - provocarile viitorului (Finance - Challenges of the Future), 2009, 1, (9), 223-230 View citations (4)
- Considerations Regarding the Ways to Reduce the US Trade Deficit
Annals of the University of Petrosani, Economics, 2009, 9, (2), 245-254 View citations (1)
- FED’S “QUANTITAVE EASING ACTION”– MORE THAN A MOVE FOR US ECONOMY REVITALIZATION?*
Revista Tinerilor Economisti (The Young Economists Journal), 2009, 1, (13), 85-88
- GLOBALIZATION AND PERFORMANCES IN BANKING ACTIVITY
Revista Tinerilor Economisti (The Young Economists Journal), 2009, 1, (12), 50-60 View citations (1)
- JOINING EURO VERY RAPIDLY – A STEP FORWARD FOR NON-EURO EU MEMBERS ?*
Revista Tinerilor Economisti (The Young Economists Journal), 2009, 1, (13), 46-49
- Some remarks of the recent "quantitative easing" action take by FED
Finante - provocarile viitorului (Finance - Challenges of the Future), 2009, 1, (9), 251-254 View citations (1)
- Strengthening Romanian banks' role in the European funds absorption
Finante - provocarile viitorului (Finance - Challenges of the Future), 2009, 1, (9), 174-178
- THE MONETARY POLICY TRANSMISSION MECHANISM IN THE EMERGENT COUNTRIES, AN ANALYSIS BASED ON THE AUTOREGRESSIVE VECTOR
Annals of University of Craiova - Economic Sciences Series, 2009, 1, (37), 164-172
- Will Eastern European Countries Join the Single European Currency Rapidly?
Annals of the University of Petrosani, Economics, 2009, 9, (2), 287-290
2008
- Considerations regarding the role and the importance of the financial stability in the context of th european banking integration
Finante - provocarile viitorului (Finance - Challenges of the Future), 2008, 1, (7), 111-117
- Financial globalization - from challenge to crisis
Finante - provocarile viitorului (Finance - Challenges of the Future), 2008, 1, (8), 126-131
- Financial structure of the firm
Finante - provocarile viitorului (Finance - Challenges of the Future), 2008, 1, (8), 89-92
2006
- Implicatiile Basel II asupra bancilor din Europa Centrala si de Est
Theoretical and Applied Economics, 2006, 4(499)(supplement), (4(499)(supplement)), 375-382
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