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.
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Volume 2, issue 2, 2017
- Indicele de stabilitate financiară estimat de către Institutul de Studii Financiare pp. 5-13

- Ion Stancu, Andrei Tudor Stancu and Iulian Panait
- Efectul zilei din săptămână pe piaţa de capital din România pp. 15-25

- Alexandra Gabriela Ţiţan
- Rolul politicii monetare în contextul mixului de politici macroeconomice. Abordare cantitativă şi calitativă pentru România pp. 26-39

- Alina Georgiana Ioniţă
- Variante de optimizare a portofoliilor de acţiuni diversificate internațional în condiții de restricții ale politicii investiționale pp. 40-55

- Francesca Dana Andreescu and Robert Ștefan Sbîrcea
- Influența variabilelor macro-economice asupra ratei riscului de credit și impactul asupra capitalurilor și locurilor de muncă disponibile pp. 56-69

- Florin Andrei
- Aplicarea analizei tehnice în selecția portofoliilor pp. 70-86

- Florin Ţurcaş
- Opinie privind evoluția activității de intermediere a instrumentelor financiare pp. 87-92

- Laurențiu Paul Baranga
Volume 15-Special-December, issue 8, 2023
- A new challenge in the risk management: sustainability risks pp. 13-28

- Corina Graziella Bâtcă-Dumitru, Cleopatra Șendroiu and Lavinia Denisia Cuc
- Identifying and quantifying the influence of the determining factors of credit institutions' performance through econometric research pp. 29-45

- Ana-Maria Bores
- Non-financial reporting and digitalization, key factors in stakeholder engagement pp. 46-66

- Teodora Cucerzan (Matieș)
- Non-financial information reporting: literature review in a bibliometric examination pp. 67-80

- Adelina Fometescu and Camelia-Daniela Hațegan
- Management’s perception of the role of accounting information and the accounting professional in designing the sustainable business model pp. 81-100

- Elena Hlaciuc
- Optimizing the financial education of adults in Romania pp. 101-113

- Vanesa Luisa Sidor and Daniel Manațe
- Tax optimization in Romania from the point of view of accounting professionals in Suceava county pp. 114-131

- Marian Socoliuc
- The impact of digitalization on the accounting profession in Romania - a quantitative research pp. 132-154

- Mihaela Ionela Socoliuc
- The impact of macroeconomic indicators of economic growth: an empirical analysis of Central and Eastern European countries pp. 155-176

- Alin Vasile Străchinaru
- Development and validation of a managerial model to understand taxpayers’ attitudes and perceptions towards tax compliance pp. 177-191

- Silviu Gabriel Szentesi, Vanina Adoriana Trifan, Mioara Florina Pantea, Camelia Daniela Hațegan and Maria Sinaci
- Improving the quality of financial-accounting information by strengthening the financial autonomy of universities pp. 192-204

- Liliana Țurcanu, Lilia Grigoroi and Svetlana Mihaila
- Reflection of employee job performance through a bibliometric analysis pp. 205-214

- Anuradha Iddagoda, Hiranya Dissanayake and Hasantha Dassanaike
Volume 14-Special-June, issue 8, 2023
- Elimination of tax complexity issues through financial literacy pp. 13-22

- Fuad Bahramov
- Corporate social responsability and value creation in Romania pp. 23-44

- Olivian Bîltac
- The impact of the Altman score on the energy sector companies pp. 45-56

- Maria-Lenuţa Ciupac-Ulici, Daniela-Georgeta Beju, Ioan-Alin Nistor and Flaviu Pișcoran
- Bibliometric analysis on the Covid-19 impact on corporate sustainability pp. 57-71

- Hiranya Dissanayake, D.B.P.H. Dissabandara, K.L.W. Perera and A.R. Ajward
- Analysis of the impact of financial balance indicators on the stock market performance of companies listed on the Bucharest Stock Exchange pp. 72-82

- Ioan-Alexandru Dumitrescu and Alin-Ionuț Dorobanțu
- The contribution of the EU FDIs to the reduction of Romania's manufacturing production CO2 emissions: higher exports and GDP growth pp. 83-94

- Vlad Epurescu
- INTERNAL DETERMINANTS OF PROFITABILITY IN PUBLIC ALGERIAN BANKS pp. 95-116

- Ameur Imane, Zerouti Messaoud and Bouchetara Mehdi
- From corporate social responsability to environmental, social, governance investing: non-financial reporting - benefits and legislative implications pp. 117-128

- Komalpreet Kaur, Daniela Corina Oprea (Bîrlă), Raluca Simina Bilți and Vanina Adoriana Trifan
- Financial literacy and employment: an overview and bibliometric analysis pp. 129-150

- Ancuța Lucaci and Carmen Nastase
- The environmental and financial performances on the energy sector. Case study in North America pp. 151-165

- Loredana-Georgia Nițu (Ivan)
- K-means and agglomerative hierarchical clustering analysis of esg scores, yearly variations, and stock returns: insights from the energy sector in Europe and the United States pp. 166-180

- Ștefan Rusu, Marcel Ioan Boloș and Marius Leordeanu
- Banking institutions and aggregated indicators for financial stability on the Romanian banking market pp. 181-192

- Roxana Daliana Schiop and Mihaiela Joly Mircea
- Impact of sustainable development on smart cities pp. 193-201

- Ioana Marinela (Gavriluță) Turtă
- The implications of circular economy development at European level pp. 203-210

- Laurențiu Paul Barangă and Elena-Ioana Țanea
Volume 11, issue 6, 2021
- Analysis of the macroeconomic factors influence on the performance of financial markets pp. 9-23

- Andreea Antoneac (Lungu) and Octavian Iordan
- The impact of digital accounting on the quality and transparency of information presented by organizations using ERP systems. Opportunities for Cloud ERP Vs. On-premise ERP pp. 24-32

- Laura-Eugenia-Lavinia Barna
- The role of professional accounting reasoning in ensuring standards of preparation and certification of financial statements pp. 33-45

- Mihaela-Raluca Boharu (Mircea) and Cristina-Elena Florea (Poenaru)
- A quasi-cyclical regressive model of the pandemic impact on Romanian e-market pp. 46-56

- Bogdan Boldea and Costin Radu Boldea
- Virtual currencies, fintech, blockchain, an ever-changing economic world. The social impact of financial technologies pp. 57-77

- Daniel Cuibari
- Innovation and performance: the impact of research and development research on the economic and stock market performance of European companies pp. 78-92

- Alin-Ionuț Dorobanțu and Ioan-Alexandru Dumitrescu
- Analysis of the accession of European funds for the environmental policy from 2014 pp. 93-108

- Răzvan-Aurelian Munteanu
- Implementation of judicial accounting expertise in the digital context pp. 109-121

- Andreea-Cristina Savu and Leliana Diana Bolcu
- The impact of National Rural Development Program on investments in the agricultural sector pp. 122-130

- Maria Cristina Sterie, Gabriela Dalila Stoica, Andreea Daniela Giucă and Marian Motofeanu
- Differences and benefits in using a financial consolidation software: CLOUD, LOCAL, SAAS OR PAAS pp. 131-140

- Raluca Andreea Stoica and Alina Gabriela Mareș
- The role of the chartered accountant in diminishing the effects of cyber fraud pp. 141-155

- Elena-Simona Tache (Buzățoiu), Amalia-Magdalena Dănăilă (Calafeteanu) and Monica-Mihaela Drăgan (Radu)
- Macroprudential tools, credit growth and financial stability: Lessons from Central and Eastern European countries pp. 156-178

- Cristina Zeldea and Mihai Nițoi
- Management and reduction of fraud by analysis of the insurer’s internal and external vulnerabilities and contributions pp. 179-187

- Mihai Ovidiu Vădean
Volume 3, issue 2, 2017
- Indicele de stabilitate financiară estimat de către Institutul de Studii Financiare pp. 101-107

- Ion Stancu, Andrei Tudor Stancu and Iulian Panait
- Analiza alternativelor de finanțare prin serviciile tehnologice financiare fintech – fenomenul de crowdfunding pp. 108-124

- Bîzderea Claudia Gabriela
- Previziunea evenimentelor extreme pe piețele financiare pp. 125-139

- Ionuț Cosmin Năstase
- Evaluarea riscului unui portofoliu de acțiuni utilizând metoda Value at Risk pp. 140-156

- Căpățînă Adrian-Nicolae
- Managementul riscului pe piața de capital din România și utilizarea modelelor multifactoriale în estimarea rentabilității acțiunilor pp. 157-168

- Adelina- Monica Moraru
- Diversificarea portofoliului prin investiția în exchange-traded fund pp. 169-183

- Mirel Flavius Popa
- Ajustarea teoriilor clasice de management al portofoliilor cu practici comportamentale pp. 184-206

- Nicu Stanciu and Adrian-Tudor Mitroi
- Bancassurance – factor de dezvoltare a pieței financiare pp. 207-215

- Elda Marzai (Abliz)
- Riscul de mediu și asigurările pp. 216-219

- Paul Dumitru
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