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Details about Ion Stancu

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 Ion Stancu.

Last updated 2019-08-09. Update your information in the RePEc Author Service.

Short-id: pst319


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Working Papers

2011

  1. THE QUESTION OF CLUSTERS IN LESS DEVELOPED AREAS. EMPIRICAL EVIDENCE FROM ROMANIA'S EASTERN REGIONS
    ERSA conference papers, European Regional Science Association Downloads

2009

  1. Framework for understanding environmental policy in Romania
    (Framework for understanding environmental policy in Romania)
    MPRA Paper, University Library of Munich, Germany Downloads

Journal Articles

2017

  1. Are Company Valuation Models the Same? – A Comparative Analysis between the Discounted Cash Flows (DCF), the Adjusted Net Asset, Value and Price Multiples, the Market Value Added (MVA) and the Residual Income (RI) Models
    ECONOMIC COMPUTATION AND ECONOMIC CYBERNETICS STUDIES AND RESEARCH, 2017, 51, (3), 5-20 Downloads View citations (1)
  2. Innovation. An Instrument for Development of Companies
    The AMFITEATRU ECONOMIC journal, 2017, 19, (45), 509 Downloads View citations (1)

2016

  1. Financial Investment Companies (SIFS) Relative Valuation and Fundamentals
    ECONOMIC COMPUTATION AND ECONOMIC CYBERNETICS STUDIES AND RESEARCH, 2016, 50, (2), 25-40 Downloads

2015

  1. Sales Forecasting in the Context of Seasonal Activities and Company Sustainable Growth
    The AMFITEATRU ECONOMIC journal, 2015, 17, (40), 1054 Downloads

2013

  1. RATIONALITY VERSUS IRRATIONALITY ON THE ROMANIAN CAPITAL MARKET
    Theoretical and Applied Economics, 2013, XX, (Special I), 325-332 Downloads View citations (2)

2012

  1. The Renewable Energy Development: A Nonparametric Efficiency Analysis
    Journal for Economic Forecasting, 2012, (1), 5-19 Downloads View citations (4)

2011

  1. An Optimization of the Risk Management using Derivatives
    Theoretical and Applied Economics, 2011, XVIII(2011), (7(560)), 73-84 Downloads
  2. Corporate Social Responsibility and its Macroeconomic Implications
    REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, 2011, 12, (1), 172-183 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
  4. SPLINE REGRESSION AND RESEARCH OF CAPITAL MARKET UNDER FINANCIAL CRISES IMPACT
    Theoretical and Applied Economics, 2011, 5(558)(supplement), (5(558)(supplement)), 278-286 Downloads
  5. STAN with BRAN
    Theoretical and Applied Economics, 2011, 5(558)(supplement), (5(558)(supplement)), 29-29 Downloads
  6. The Impact of Sovereign Credit Ratings on the Issuance of Government Bonds in Central and Eastern Europe
    Theoretical and Applied Economics, 2011, XVIII(2011), (6(559)), 5-26 Downloads View citations (1)

2010

  1. Comparative Analysis of Investment Funds Stocks-based Portfolios and BET Stocks-based Portfolios
    Theoretical and Applied Economics, 2010, 4(545), (4(545)), 35-46 Downloads
  2. Embedded Banking Security Level Index and Aimed Control Template for Banking Systems – Implementation Evaluation Using the Vroom-Yetton-Jago Contingency Model
    The Review of Finance and Banking, 2010, 02, (2), 077-082 Downloads View citations (2)
  3. The Liquidity of the Bucharest Stock Exchange (BSE) during the Financial Crisis
    Theoretical and Applied Economics, 2010, 5(546), (5(546)), 7-26 Downloads View citations (2)

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
  2. The Relationship between Economic Growth and Money Laundering – a Linear Regression Model
    Theoretical and Applied Economics, 2009, 09(538), (09(538)), 3-8 Downloads View citations (1)

2008

  1. THE INFLUENCE OF R&D POLICY ON PERFORMANCE OF THE COMPANIES LISTED WITH BUCHAREST STOCK EXCHANGE (THROUGH INTANGIBLE ASSETS)
    Theoretical and Applied Economics, 2008, 11(528)(supplement), (11(528)(supplement)), 293-298 Downloads View citations (6)
    Also in Theoretical and Applied Economics, 2008, 9(526), (9(526)), 03-10 (2008) Downloads View citations (6)

2007

  1. Behavioral Finances versus Technical and Fundamental Analysis
    Theoretical and Applied Economics, 2007, 1(506), (1(506)) Downloads
  2. The Basel II Accord on Measuring and Managing a Bank's Risks
    Theoretical and Applied Economics, 2007, 11(516), (11(516)), 3-14 Downloads

2006

  1. Banking Activity for Sustainable Development
    Theoretical and Applied Economics, 2006, 6(501), (6(501)), 23-32 Downloads View citations (7)
  2. Capitals Cost and the Investments Actualisation Rate
    Theoretical and Applied Economics, 2006, 2(497), (2(497)), 19-26 Downloads
  3. Informational Asymmetry, Sustainable Growth, Exploitation and Obligation Risks
    Theoretical and Applied Economics, 2006, 10(505), (10(505)), 15-18 Downloads
  4. Measuring the Company Performance
    Theoretical and Applied Economics, 2006, 1(496), (1(496)), 8-12 Downloads
  5. VAR Methodology Used for Exchange Risk Measurement and Prevention
    Theoretical and Applied Economics, 2006, 3(498), (3(498)), 51-56 Downloads
 
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