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Aspects Regarding Romanian Mutual Funds Market in 2007-2016

Dan Dănuleţiu and Adina-Elena Dănuleţiu ()
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Adina-Elena Dănuleţiu: „1 Decembrie 1918” University of Alba Iulia, Romania

Annals of the University of Petrosani, Economics, 2017, vol. 17, issue 1, 55-66

Abstract: The mutual fund market in Romania was affected in the past by some negative events that affected the trust of investors in it. Our paper analyses the evolution of this market some years after that events, but in a period of economic crisis and after EU integration of Romania. The key indicators analyzed are the number of investors, structure of investors, net assets of the funds by type of funds, relative change of the funds, market share of different type of funds. The results of the study show that most of the investors adopted a risk-adverse behaviour with the extension of crisis, by investing in bonds funds.

Keywords: mutual funds; assets; investor; open-end funds; close-ended funds (search for similar items in EconPapers)
JEL-codes: G11 G23 (search for similar items in EconPapers)
Date: 2017
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