Journal of Financial Studies
2016 - 2025
Current editor(s): Raluca Ladaru From Institute of Financial Studies Contact information at EDIRC. Bibliographic data for series maintained by Cosmin Catalin Olteanu ( this e-mail address is bad, please contact ). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 10, issue 18, 2025
- Credit risk management through stress testing during the Covid-19 crisis: case of Banque Exterieure d’Algerie pp. 9-29

- Amira Benachour, Hanane Abdlemalek and Lamine Tarhlissia
- Financial Transparency and Tax Avoidance Risks for Manufacturing Companies: A Stock Market Analysis of Tax Compliance in Romania pp. 30-60

- Adrian Bojan and Monica Violeta Achim
- Romania’s Budget Deficit Between Resource and Fiscal Burden pp. 61-72

- Bogdan-Virgil Condea, Daniela Haranguș and Emima-Florentina Condea
- Adapting to ESG Trends: Sustainability Reporting and Assurance Practices in Romania pp. 73-90

- Iulia-Diana Costea and Camelia-Daniela Hategan
- The Impact of Financial Analysis and Foreign Investments on the Romanian Economy: A Case Study on Italian Capital pp. 91-101

- Andreea-Roxana Crocnan
- Measuring the Impact of Social, Economic and Environmental Challenges on Sustainable Development pp. 102-133

- Gabriel Croitoru, Nicoleta Valentina Florea, Daria Florea, Mihai Bogdan Croitoru and Brândușa Adriana Dragomir
- The Impact of the Digital Age, with a Focus on the Competitiveness of Human Capital in the Accounting Profession pp. 134-146

- Beatrice-Elena Gore, Ana-Rebeca Neagu (Ion), Alexandra Tarau and Florin Radu
- What Will be the Impact of Transposing Directive (EU) 2022/2464 of the European Parliament and of the Council in Romania? pp. 147-163

- Ramona-Ionela Haraguș and Attila Szora Tamaș
- Fraud on Non-financial reporting pp. 164-194

- Ruben Pop and Monica Violeta Achim
- Monetary and Fiscal Policy Strategies for Enhancing Financial Sustainability and Growth in Startups: Insights From Romania’s Ecosystem pp. 195-210

- Răzvan-George Cotescu, Miruna-Mihaela Vasilca, Edi-Cristian Dumitra and Cezara-Georgiana Radu
- The Impact of Green Taxation on Sustainable Economic Development in the European Union pp. 240-263

- Valentin Marian Antohi, Costinela Fortea, Monica Laura Zlati and Marius Sorin Dinca
Volume 10, issue 17, 2025
- Fintech Between Revolution and Evolution: Trends and Academic Contributions in a Bibliometric Analysis pp. 211-239

- Marian Ilie Siminică, Gabriela Badareu, Daniel Cîrciumaru, Silviu Cârstina and Mirela Cristea
Volume 10, issue 6, 2021
- Interconnections between local finances and regional development: a study case of Romania pp. 9-32

- Mihaela Onofrei, Lenuta Cojocariu and Florin Oprea
- The current framework of financial education in Romania in the context of the informational economy pp. 33-47

- Horia Ioan Tulai, Codruța Maria Făt and Daniela Georgeta
- The financial crisis: a history of the economic schools of thought pp. 48-57

- Sabina Andreea Cazan
- The impact of social responsibility on financial performance: evidence from Romanian companies pp. 58-76

- Nour Lakiss
- The impact of economic growth on the financial and capital market pp. 77-93

- Claudiu-Florentin Lăceanu, Liviu-Valentin Vlăducu, Ovidiu-Gheorghe Petru and Marius-Silviu Culea
- The impact of public funding on the development of Romanian agriculture after EU integration pp. 94-101

- Andrei – Cristian Matei, Mihaela Onofrei, Ioana Gavriluta, Domnita Gritco and Lenuța Cojocariu
- Human capital, below the limits of national accounting standards pp. 102-112

- Diana-Nicoleta Nita
- FINTECH revolution: are we prepared? pp. 113-126

- Adina Teodora Paşa, Nicoleta Onofrei and Elena Mădălina Gherghina
- Implications of adopting CLOUD accounting on the quality of information provided by the accounting model pp. 127-135

- Mihail Alin Stanciu
- The influence of financing on results in the pre-university education system pp. 136-151

- Gabriella Szekeres (Vancza) and Alina Căldăraru
- Application of asset tokenization, smart contracts and decentralized finance in agriculture pp. 152-163

- Mahmoud Tarhini
Volume 9, issue 17, 2024
- Unveiling the factors behind the shadow economy: a global investigation utilizing panel data analysis pp. 9-23

- Mihai-Adrian Achim and Codruța Mare
- The insurance market in Romania motor third party liability insurance: communication on developments, risks, challenges and perspectives pp. 24-38

- Cecilia Ciocîrlan, Andreea Popescu-Crețulescu and Razvan Cristian Secui
- Implementation of IFRS sustainability disclosure standards into integrated reporting: A journey of future-oriented companies pp. 39-55

- Ana-Carolina Cojocaru (Bărbieru) and Svetlana Mihaila
- Exploring the nexus between energy efficiency and structural changes in Romania’s manufacturing industry pp. 56-70

- Andrei Silviu Dospinescu
- New econometric model of sustainable economic development quantifying the impact of the implementation of SDG9 in the European context pp. 71-90

- Costinela Fortea, Valentin Marian Antohi, Monica Laura Zlati and Sajjad Nawaz Khan
- Comparative analysis of RF, SVR with Gaussian kernel and LSTM for predicting loan defaults pp. 91-106

- Konstantinos Kofidis and Cătălina Lucia Cocianu
- Digitalization of the tax system in Europe pp. 107-128

- Alina Petraș
- Benefits of integrating sustainability into insurance companies pp. 129-142

- Liviu Purcărea, Carmen Valentina Rădulescu and Andreea Maria Mănescu
- Comparative analysis of regression models for stock price prediction: Linear, support vector, polynomial, and LASSO pp. 143-156

- Ștefan Rusu, Marcel Ioan Boloș and Marius Leordeanu
Volume 9, issue 16, 2024
- Qualitative Analysis on the Interference and Causality between Accounting and Auditing for Romanian Companies “Top Traded” Listed at the Bucharest Stock Exchange pp. 176-193

- Ramona-Ionela Haraguș and Attila Szora Tamaș
- Evaluating the Interplay between ESG Practices and Corporate Financial Performance in America: The Industrial Sector pp. 194-204

- Loredana-Georgia Nițu (Ivan)
- Financial Reporting and Audit Quality. A Bibliometric Analysis pp. 205-217

- Andreea Georgiana Pascaru and Camelia Daniela Hațegan
- Developments and Challenges Regarding the European Capital Markets Integration Project pp. 218-235

- Beatrice Radu
- Unraveling the Nexus between Digital Banking Transactions and Bank Profitability: Insights From Turkey’s Deposit Banks pp. 236-248

- Bekir Zengin
Volume 9, issue 5, 2020
- Financial stability indicator for non-banking markets pp. 3-9

- Marius Cristian Acatrinei
- Anomaly detection in stock market indices with neural networks pp. 10-23

- Lucian Albu and Radu Lupu
- Fiscal-budgetary responsibility and implications on the European budgetary framework in the context of the COVID-19 crisis pp. 24-34

- Mihaela Onofrei, Anca Florentina Vatamanu, Elena Rusu Cigu and Florin Oprea
- Financial performance of European companies involved in environmental activities of corporate social responsibility pp. 35-48

- Petru Ștefea, Grațiela Georgiana Noja and Irina-Maria Grecu
- Spillover index for European business cycle pp. 49-57

- Marius Cristian Acatrinei
- The impact of COVID – 19 on the stocks’ yield from the pharmaceutical sector pp. 58-71

- Meral Kagitci
- Are happier taxpayers willing to pay higher taxes? pp. 72-85

- Raluca Tudorică and Sorana Vătavu
- COVID-19 crisis as a systematic risk: an empirical study in the egyptian stock market pp. 86-100

- Mustafa Hussein Abd-Alla
- Impact of COVID-19 on the Romanian capital market: An assessment of BET index and shares BRD, SNP, TLV, FP & SNP pp. 101-123

- Cătălina Camelia Joldeș
- Sovereign debt crisis management by the European Central Bank pp. 124-133

- Ioana Manuela Mîndrican
- The banking system of emerging economies in Asia against the background of COVID-19. Case study – the ASEAN area pp. 134-146

- Ionela Voinea
- Is price the main motivation for buying general insurances in Romania? Comparative study 2014 – 2019 pp. 147-162

- Daniel Mihai Pantazi
Volume 8, issue 5, 2020
- Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare (8) pp. 5-12

- Ion Stancu, Andrei Tudor Stancu and Iulian Panait
- Solvency II între IFRS 4 şi IFRS 17 pp. 13-34

- Costin Andrei Istrate
- Analiza comparativă a normalității distribuțiilor randamentelor indicilor BET și S&P500 pp. 35-60

- Roxana Ioan
- Rolul caracteristicilor individuale în prezicerea comportamentelor de cross-selling și up-selling în industria asigurărilor pp. 61-95

- Cristian Dorel Lăcătuș
- Modelarea riscurilor catastrofale – expunere rezidenţială şi nerezidenţială pp. 96-112

- Nicoleta Radu and Laura Elly Naghi
- Analiza relației dintre veniturile fiscale și bazele de impunere în cazul României pp. 113-128

- Victor Ogneru and Iulian Panait
- Analiza corelaţiei PIB – Rating de țară pp. 129-153

- Ana Maria (Mărășescu) Necula and Andrei Tudor Stancu
- Studiu privind Programarea cu Obiectiv Multiplu pentru optimizarea gestiunii portofoliului pp. 154-166

- Mircea Bahna
- Semnificația pensiilor ocupaționale în consolidarea sistemului de pensii private din România pp. 167-171

- Dragoș Alexandru Hașegan
- Coordonate ale unui model euristic de generare a deciziei de investiţii pp. 172-178

- Iulian Stan
| |