Theoretical and Applied Economics
2006 - 2025
Current editor(s): Mircea Dinu From Asociatia Generala a Economistilor din Romania / Editura Economica Contact information at EDIRC. Bibliographic data for series maintained by Mircea Dinu (). Access Statistics for this journal.
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Volume XXIII, issue Special(I), 2016
- Operational risk assessment with Bayesian beliefs networks – successful application in other industries. New approaches that could fit Solvency 2 pp. 9-18

- Răzvan Tudor and Dumitru Gh. Badea
- Similarities and differences between the operational risk covered by Basel III and Solvency II and trends in this area pp. 19-28

- Laurențiu Paul Barangă
- The role of health on economic growth pp. 29-34

- Tatiana Bogdan
- Transfer pricing in the insurance market pp. 35-46

- Costin A. Istrate
- Crisis response and government ownership: International assistance or abuse of power in the cases of Iceland and Latvia? pp. 47-62

- Hilmar Þór Hilmarsson
- Investors’ sentiment and stocks performance pp. 63-69

- Andreea Maria Pece, Angela Maria Filip and Maria Miruna Pochea
- Corporate Social Responsibility (CSR), sustainable development and resilience pp. 70-83

- Liliana Nicoleta Simionescu and Dalina Dumitrescu
- The evaluation of the companies financial performance through the rates of return pp. 84-95

- Nicolae Balteș, Alexandra-Gabriela-Maria Dragoe and Sebastian-Ilie Dragoe
- The cost of capital under information asymmetry’s constraint pp. 96-103

- Florina-Adriana Stănică
- Capital structure: profitability, tangibility and size of the company pp. 104-111

- Liviu-Adrian Țaga and Florina-Adriana Stănică
- Comparative analysis of treatment of categories “finance” and “household finance” in the Russian financial science in the 19th-21st century pp. 112-121

- Sergey Belozerov
- Testing the impact of external financing on corporate financial constraints in Africa – A case study of Mauritius pp. 122-137

- Chakeel Coomar Prayagsing and Kheswar Jankee
- Study on the implementation of internal control standards in Romanian public sector institutions pp. 138-147

- Cosmin Șerbănescu and Adrian Vintilescu–belciug
- Fly E-course – aimed to increase the level of financial literacy pp. 148-157

- Andrei Dumitrescu and Mihaela-Elena Ulmeanu
- Relationship between fiscal policy and capital market performance: evidence from Romania pp. 158-164

- Stela Jakova and Gabriela-Victoria Anghelache
- Romanian counties: does public financial decentralization help equity access to public goods and services? pp. 165-172

- Carmen Maria CONSTANTINESCU (lăcătuș) and Mirela Anca Postole
- Fostering the employability of higher education graduates, according to labour market requirements pp. 173-182

- Rodica Gherghina, Georgiana Camelia Crețan and Emilia Mioara Câmpeanu
- Comparative analysis of commodity prices, stock market indices and listed metallurgical companies pp. 183-188

- Florin Turcaș, Florin Dumiter, Petre Brezeanu and Todor Silvia
- Financial crime: a quest for homogenous data across regions and jurisdictions pp. 189-192

- Gabriel Mitrache
- Financial excesses and the economic instability pp. 193-200

- Ion Bucur
- Weaknesses of the capital asset pricing model pp. 201-204

- Andrei Stanculescu
- Issues on money demand and economic stability pp. 205-211

- Valentina Ioana Mera
- Evolutions in dealing with monetary and financial stability pp. 212-219

- Livia Maria Rotaru
- The influence of non-performing loans on macroeconomic indicators in Romania between 2009-2015 pp. 220-230

- Claudiu Mihail Manolescu and Elena Manolescu
- The impact of macroeconomic factors on non-performing loans in Romania: a time series analysis pp. 231-243

- Simona Mașcu and Marușa PESCU (beca)
- The role of fiscal policies in the relation between public governance and economic performance at the EU level pp. 244-250

- Cristina Vlad, Birol Ibadula and Petre Brezeanu
- The management and the analysis of the commercial banks’ liquidity risk pp. 251-259

- Maria-Daciana RODEAN (cozma), Nicolae Balteş and Georgiana Daniela MINCULETE (piko)
- Assessing the banking systems’ performance and its determinants in EU28 countries pp. 260-268

- Bogdan Florin Filip
Volume XXIII, issue 4(609), Winter, 2016
- The influence of fiscal freedom, government effectiveness and human development index on tax evasion in the European Union pp. 5-18

- Alexandru Theodoru Dronca
- Limitation of ARIMA models in financial and monetary economics pp. 19-42

- Andreea-Cristina Petrică, Stelian Stancu and Alexandru Tindeche
- The Romania's challenges regarding the integration in the Euro Area pp. 43-56

- Iulian Nicolae Vasiloiu
- Does remittance drive economic growth in emerging economies: Evidence from FMOLS and Panel VECM pp. 57-74

- Kalandi Charan Pradhan
- Effectiveness of monetary policies in OECD countries pp. 75-88

- Ahmet Ugur, Canan Sancar and Yusuf Ekrem Akbaş
- Determinants of household loans pp. 89-102

- Sorin Daniel Manole, Corina Petrescu and Ramona Ioana Vlada
- Tourism and economic structural change with endogenous wealth and human capital and elastic labor supply pp. 103-126

- Wei-Bin Zhang
- Migration – trade nexus revisited: Empirical evidence from Turkish emigrants in OECD countries pp. 127-142

- Kadir Karagöz
- New pillars of the banking business model or a new model of doing banking? pp. 143-152

- Dan Costin Nițescu
- Effects of R&D and innovation on income in EU countries: new generation panel cointegration and causality analysis pp. 153-164

- Ismet Gocer, Sedat Alatas and Osman Peker
- The major economic evolution of Romania by the middle of 2016 pp. 165-182

- Constantin Anghelache, Alexandru Manole and Mădălina Gabriela Anghel
- Foreign aid, macroeconomic policies and economic growth nexus in India: An ARDL bounds testing approach pp. 183-202

- Geetilaxmi Mohapatra, Arun Giri and Madhu Sehrawat
- Human nature in the economic behavior based on the neoclassical economic model pp. 203-214

- Ada Albu (Marinescu)
- Determinants of nonperforming assets-bank-specific and macroeconomic factors: A panel data analysis of different group of commercial banks operating in India pp. 215-236

- Biswajit Patra and Puja Padhi
- Gradualistic strategy of transition to market economy pp. 237-242

- Giorgi Mikeladze and Simon Gelashvili
- Financial liberalization and economic growth: Evidence from Tunisia pp. 243-262

- Bouzid Amaira
- Public target space as key factor for public policy implementation pp. 263-272

- Luminița Gabriela Popescu
- The relationships among the returns of investment instruments: a vector autoregressive approach for Turkey pp. 273-280

- Yüksel İltaş and Umit Bulut
- Current account sustainability in SAARC economies: Evidence from combined cointegration approach pp. 281-298

- Manoranjan Sahoo, M Suresh Babu and Umakant Dash
- Information asymmetry and technical efficiency: Case of a panel of Tunisian insurance companies pp. 299-314

- Chiraz Feki
- FDI and export spillovers using Heckman’s two step approach: Evidence from Turkish manufacturing data pp. 315-342

- Muhammed Benli
Volume XXIII, issue 3(608), Autumn, 2016
- RASDAQ: The final curtain pp. 5-40

- Cornelia Pop, Cristina Balint, Maria - Andrada Georgescu and Ioan Alin Nistor
- The relationship between public expenditure and economic growth in Romania: Does it obey Wagner’s or Keynes’s Law? pp. 41-52

- Lingxiao Wang, Adelina DUMITRESCU Peculea and Handuo Xu
- Cracks in BRICs: A sectoral financial balances analysis and implications for macroeconomic policy pp. 53-78

- Sashi Sivramkrishna
- An empirical study of factors influencing total unemployment rate in comparison to youth unemployment rate in selected EU member-states pp. 79-92

- Filip Kokotović
- Is real depreciation expansionary? The case of the Czech Republic pp. 93-100

- Yu Hsing
- Determinants of sovereign bond yields in emerging economies: Some panel inferences pp. 101-118

- Sri Hari NAIDU. A, Phanindra Goyari and Bandi Kamaiah
- Investment funds and portfolio of loan guarantees as financial steps proposals to support innovative Small and Medium Enterprises pp. 119-126

- Mădălina Gabriela Anghel, Constantin Anghelache and Daniel Dumitrescu
- Dynamic relationship among foreign direct investments, human capital, economic freedom and economic growth: Evidence from panel cointegration and panel causality analysis pp. 127-140

- Oktay Kızılkaya, Ahmet Ay and Gökhan Akar
- Integrating the issue of infrastructural investment with economic growth: The case of India pp. 141-162

- Mukul Gupta, Rahul Budhadev, Varun Chotia and N V Muralidhar Rao
- Globalization of the corruption phenomenon – human capital gone wild pp. 163-176

- Dumitru Alexandru Bodislav, Ciprian Rotaru and Raluca Georgescu
- Productivity spillovers from FDI in Turkey: Evidence from quantile regressions pp. 177-196

- Muhammed Benli
- Predicting probability of default of Indian companies: A market based approach pp. 197-204

- Bhanu Singh and Alok Mishra
- Which country after Greece? Sustainability of budget deficits in selected EU countries: A panel cointegration analysis with multiple structural breaks under cross-section dependence pp. 205-220

- Ismet Gocer and Mehmet Mercan
- Statistical-econometric model used to analyze the operational and insolvency risks pp. 221-228

- Constantin Anghelache, Alexandru Manole, Mădălina Gabriela Anghel and Diana Valentina Soare
- Short and long term analysis of some factors effecting youth unemployment in Turkey pp. 229-242

- Rıza Bayrak and Halim Tatlı
- Determining the causal relationships among entrepreneurship, educational attainment and per capita GDP in high-income OECD countries pp. 243-256

- Feyza Balan, Seda Ozekicioglu and Cuneyt Kilic
- Assessment of the bankruptcy risk based on the solvency ratio pp. 257-266

- Daniel Brîndescu-Olariu
- Using simulation and modeling to improve career management processes in organizations pp. 267-282

- Nicoleta Valentina Florea
- Commodity market integration and price transmission: Empirical evidence from India pp. 283-306

- Pratap Kumar Jena
- Testing the relationship between military spending and private investments: Evidence from Turkey pp. 307-318

- Gülbahar Üçler
- Growth-finance nexus: Empirical evidence from India pp. 319-330

- Tanzeem Hasnat, Shahid Ashraf and Umer Banday
- The importance and role of small and medium-sized businesses pp. 331-338

- Cibela Neagu
- Skill biased technological changes: Case of the MENA Region pp. 339-350

- Sirine Mnif
- Net earnings trends in the EU countries pp. 351-360

- Mădălina Ecaterina Popescu, Amalia Cristescu and Mădălina Ecaterina Popescu
- Communication and PR in crisis situations pp. 361-370

- Claudia Elena Paicu and Laurențiu Gabriel Frâncu
Volume XXIII, issue 2(607), Summer, 2016
- The prerequisites of social development when planning for decentralization pp. 5-16

- Cătălin Daniel Dumitrică, Teodora I. Biţoiu and Dragoş Dincă
- Testing the validity of the Feldstein-Horioka Puzzle: New evidence from structural breaks for Turkey pp. 17-26

- Ekrem Erdem, Ahmet Koseoglu and Ali Yucel
- The role of institutional pressures in developing countries. Implications for IFRS pp. 27-40

- Cătălina Florentina Pricope
- Children’s health insurance coverage in the United States: The role of parents’ ethnicity and immigration status pp. 41-46

- Swarnankur Chatterjee
- Axiomatical examination of the neoclassical economic model. Logical assessment of the assumptions of neoclassical economic model pp. 47-64

- Ada Albu (Marinescu)
- An empirical investigation of banking sector development and economic growth in a panel of selected SAARC countries pp. 65-72

- Javed Ahmed and Malik Fahim Bashir
- A common agency within bureaucracy pp. 73-102

- Nadide Banu Olcay
- From public services to networks of social enterprises. Strategic trends for South-Eastern Europe pp. 103-116

- Ani Matei, Carmen Săvulescu and Corina-Georgiana Antonovici
- The relationship between inclusive growth, inequality and poverty in Africa pp. 117-126

- Mohamed BEN Amar and Nahed Zghidi
- Investigation of relation between foreign portfolio investments and stock prices: Time varying asymmetric causality analysis pp. 127-134

- Gülfen Tuna and Samet Kundakçioğlu
- Asymmetric stochastic volatility in central and eastern European stock markets pp. 135-144

- Aycan Hepsag
- Bankruptcy prediction based on the debt ratio pp. 145-156

- Daniel Brîndescu-Olariu
- The effects of saving-investment gap on economic growth in developing countries: A clustering and panel data analysis pp. 157-172

- Ismet Gocer, Tugba Akin and Sedat Alatas
- Impact of educational expenditure on economic growth in major Asian countries: Evidence from econometric analysis pp. 173-186

- Lingaraj Mallick, Pradeep Kumar Das and Kalandi Charan Pradhan
- Developing a financial inclusion index and inclusive growth in India pp. 187-206

- Susanta Kumar Sethy
- A comprehensive view on the manifestations of aggregate demand and aggregate supply shocks in Greece, Ireland, Italy and Portugal pp. 207-224

- Ionut Jianu
- Examining the determinants of FDI inflows in India pp. 225-238

- Shiba Shankar Pattayat
- A review of corruption based on the social and economic evolution of Ancient Greece and Ancient Rome pp. 239-248

- Ciprian Rotaru, Dumitru Alexandru Bodislav and Raluca Georgescu
- Estimating the exchange rate in the context of Romania's integration in the Eurozone pp. 249-258

- Laura Mădălina Pîrşcoveanu
Volume XXIII, issue 1(606), Spring, 2016
- Female entrepreneurial activity in Romania pp. 5-14

- Annamária Dézsi-Benyovszki, Tünde Petra Szabó and Ágnes Nagy
- Analysis of the causal link between wages and prices in UK pp. 15-40

- Adriatik Hoxha
- Assessing the regional development degree – step one: Calibrating the polar diagram pp. 41-56

- Cătălin Daniel Dumitrică, Teodora I. Biţoiu and Dragoş Dincă
- The relationship between output and asset prices: A time – and frequency – varying approach pp. 57-76

- Chi-Wei Su, Zong-Liang Yao and Hsu-Ling Chang
- Territorial patterns of development in the European Union pp. 77-88

- Mădălina Avram and Constantin Postoiu
- Nexus between defense expenditure and economic growth in BRIC economies: An empirical investigation pp. 89-102

- Devi Prasad Dash, Debi Prasad Bal and Manoranjan Sahoo
- Efficiency, non-linearity and chaos: evidences from BRICS foreign exchange markets pp. 103-118

- Anoop S Kumar and Bandi Kamaiah
- A theoretical examination of tax evasion among the self-employed pp. 119-128

- Dennis Barber
- Long-term effects of the investments dynamics in Romania in the post-accession period – a regional approach pp. 129-140

- Anca Dachin and Georgiana Moraru
- A utility based theoretical model for the income-life expectancy curve pp. 141-150

- Kaan Öğüt and Caglar Yurtseven
- Essentials aspects on macroeconomic variables and their correlations pp. 151-162

- Constantin Anghelache, Alexandru Manole, Mădălina Gabriela Anghel and Aurelian Diaconu
- Determinants of the Hungarian forint/ US dollar exchange rate pp. 163-170

- Yu Hsing
- Macroeconomic strategies for the prevention of economic and financial crisis pp. 171-182

- Cătălin-Emilian Huidumac-Petrescu and Alexandru Cătălin Popa
- Does tourism affect economic growth in Indian states? Evidence from panel ARDL model pp. 183-194

- Lingaraj Mallick, Mallesh Ummalla and Jaganath Behera
- Sovereign debt crisis. From challenges to solutions pp. 195-202

- Elena Raluca MOISESCU (duican) and Andrei Giurescu
- International trade and tourism for Mediterranean countries: A panel causality analysis pp. 203-212

- Ceyhun Can Ozcan
- Economic freedom index and stock returns in Malaysia pp. 213-236

- Devinaga Rasiah, Tay Lee Ying and Sakiru Solarin
- How budget deficit and current account deficit are interrelated in Indian economy pp. 237-246

- Umer Banday and Ranjan Aneja
- Study regarding the influence of the endogenous and exogenous factors on credit institution’s return on assets pp. 247-254

- Maria-Daciana RODEAN (cozma) and Nicolae Balteş
- Effects of oil returns and external debt on the government investment: A case study of Syria pp. 255-262

- Adel Shakeeb Mohsen
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