Studii Financiare (Financial Studies)
2007 - 2025
From Centre of Financial and Monetary Research "Victor Slavescu" Contact information at EDIRC. Bibliographic data for series maintained by Daniel Mateescu (). Access Statistics for this journal.
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Volume 22, issue 4, 2018
- MONETARY INTEGRATION BEYOND THEORY-EURO AREA PRACTICAL ACHIEVEMENTS pp. 6-24

- Adina Criste
- ESTIMATING THE CREDIT RISK SCORE FOR NON BANK STOCK EXCHANGE INTERMEDIARIES IN THE EVENTUALITY OF CHANGEOVER TO EURO CURRENCY pp. 25-40

- Laurentiu Paul Baranga and Iulian Panait
- VULNERABILITIES OF THE ROMANIAN ECONOMY GENERATED BY THE FOREIGN TRADE, THE EXTERNAL DEBT AND THE EXCHANGE RATE AFTER ROMANIA’S ACCESSION TO THE EUROPEAN UNION pp. 41-56

- Camelia Milea
Volume 22, issue 3, 2018
- DOES CORPORATE SOCIAL RESPONSIBILITY LEAD TO SUPERIOR PERFORMANCE? pp. 6-22

- Shu-Bing Liu, Hsin-Hong Kang and Shun-Jen Hsueh
- A COMPARATIVE STUDY OF THE VOLATILITY AND EFFICIENCY OF COMMODITY FUTURES INDEX ROLL METHODS pp. 27-40

- Rajarshi (Raj) Aroskar, and A. William Ogden
- THE IMPACT OF INVESTMENT DIVERSIFICATION ON FINANCIAL PERFORMANCE OF COMMERCIAL BANKS IN ETHIOPIA pp. 41-55

- Aregu Asmare Hailu and Abel Worku Tassew
- THE INCIDENCE OF INSURANCE ON ECONOMIC GROWTH IN ITALY, FRANCE, UNITED KINGDOM AND ROMANIA pp. 56-65

- Bianca Costache
Volume 22, issue 2, 2018
- HIGH-SPEED TECHNOLOGY TRADING INNOVATIONS AND CAPITAL MARKET PERFORMANCE IN BULGARIA pp. 6-37

- Julia Stefanova
- A RISK ASSESSMENT FRAMEWORK FOR ALTERNATIVE INVESTMENT FUNDS, BOTH AT FUND LEVEL AND MARKET LEVEL pp. 38-51

- Iulian Panait and Paul Baranga
- ROMANIA'S EXTERNAL DEBT: TREND AND CHARACTERISTICS AFTER THE ACCESSION TO THE EUROPEAN UNION pp. 52-64

- Camelia Milea
- THEORETICAL AND PRACTICAL APPROACHES TO FISCAL CONSOLIDATION - THE EXPERIENCE OF ROMANIA pp. 65-76

- Ionel Leonida
Volume 22, issue 1, 2018
- DEVELOPMENT OF PERIODIC LOAN REPAYMENT MODELS CONSIDERING RHYTHMIC SKIPS pp. 6-19

- Abdullah Eroglu and Mehmet Levent Erdas
- MODELING ASYMMETRIC VOLATILITY IN THE CHICAGO BOARD OPTIONS EXCHANGE VOLATILITY INDEX pp. 20-31

- Mert Ural and Erhan Demi̇reli̇
- ANALYSIS OF HOW THE EUROPEAN STOCK MARKETS PERCEIVE THE DYNAMICS OF MACROECONOMIC INDICATORS THROUGH THE SENTIMENT INDEX AND THE PURCHASING MANAGERS' INDEX pp. 32-52

- Iulia Lupu
- INVESTMENT AND THE GOLDEN RULE IN THE EUROPEAN UNION pp. 53-63

- Ada Albu (Marinescu)
- USING THE SYMMETRIC MODELS GARCH (1.1) AND GARCH-M (1.1) TO INVESTIGATE VOLATILITY AND PERSISTENCE FOR THE EUROPEAN AND US FINANCIAL MARKETS pp. 64-86

- Violeta Duță
Volume 21, issue 4, 2017
- A NOTE ON THE RELATIONSHIP LINKING REMITTANCES AND FINANCIAL DEVELOPMENT IN PAKISTAN pp. 6-26

- Adnan Khurshid, Yin Kedong, Adrian Cantemir Calin and Oana Popovici
- THE EFFECTS OF FINANCIAL RISK MANAGEMENT ON FIRM’S VALUE: AN EMPIRICAL EVIDENCE FROM BORSA ISTANBUL STOCK EXCHANGE pp. 27-45

- Zekai Şenol, Süleyman Serdar Karaca and Seda Erdoğan
- SPECIAL TAX REGIMES IN TAXING SMALL AND MICRO BUSINESS ACTIVITIES: THEORETICAL APPROACHES AND PATENT TAX EXPERIENCE pp. 46-64

- Angela Timuş, Victoria Iordachi and Victoria Cociug
- A LOOK AT THE EVOLUTION AND CHARACTERISTICS OF THE ROMANIAN FOREIGN DEBT OVER THE PAST YEARS pp. 65-81

- Camelia Milea
Volume 21, issue 3, 2017
- LONG MEMORY IN TURKISH STOCK MARKET AND EFFECTS OF CENTRAL BANKS’ ANNOUNCEMENTS pp. 6-18

- Elif Erer and Deniz Erer
- THE NEXUS OF TREASURY SINGLE ACCOUNT POLICY IN NIGERIA: AN EXPLORATORY DISCOURSE pp. 19-31

- Bamidele A. Badejo, Adelowokan A. Oluwaseyi and Morenike R. Taiwo
- DID MANAGER BEHAVE OVERCONFIDENTLY? pp. 32-44

- Bayu Sindhu Raharja, Dahli Suhaeli and Muji Mranani
- THE VIRTUAL CURRENCY AND FINANCIAL BLOCKCHAIN TECHNOLOGY. CURRENT TRENDS IN DIGITAL FINANCE pp. 45-59

- Otilia Manta and Napoleon Pop
Volume 21, issue 2, 2017
- THE EFFECT OF ENTERPRISE RISK MANAGEMENT ON FIRM PERFORMANCE: A CASE STUDY ON TURKEY pp. 6-30

- Zekai Şenol and Süleyman Serdar Karaca
- META-ANALYTIC REVIEW OF THE RELATION BETWEEN BOARD GLOBALIZATION AND FIRM PERFORMANCE pp. 31-55

- Ibrahim Yagli and Burcu Şi̇mşek
- RETHINKING A GLOBAL SUSTAINABLE MONETARY POLICY IN A POST-CRISIS ERA pp. 56-69

- Adina Criste
Volume 21, issue 1, 2017
- IS MINSKY’S INSTABILITY HYPOTHESIS ACCEPTABLE FOR THE RELATION BETWEEN BORROWING RATE AND PROFITABILITY? pp. 6-27

- Özge Korkmaz
- RELATIVE PRICE VARIABILITY AND INFLATION IN TURKEY: RESULTS FROM KALMAN FILTER ESTIMATION pp. 28-40

- Rahmi Yamak, Havvanur Feyza Erdem and Sinem Koçak
- TRACKING FINANCIAL BUBBLES ON ROMANIA STOCK MARKET pp. 41-62

- Mihai Mitrache and Nicolas Boitout
- THE UNEMPLOYMENT RATE – AN ELUSIVE INDICATOR pp. 63-70

- Maria Magdalena Criveanu
Volume 20, issue 4, 2016
- SYSTEMIC RISK AND COJUMPS IN HIGH FREQUENCY DATA pp. 6-16

- Radu Lupu and Alexandra Mateescu
- EXCHANGE RATE EVOLUTION IN ROMANIA - EFFECTS ON THE FINANCIAL-MONETARY MARKET pp. 17-36

- Camelia Milea
- THEORETICAL ASPECTS REGARDING THE TAX FACILITIES FOR ENTERPRISES IN ROMANIA AND SOME EU MEMBER STATES pp. 37-51

- Nicoleta Mihăilă
- FISCAL RESPONSIBILITY WITHIN AN UNSTABLE ECONOMIC AND POLITICAL ENVIRONMENT pp. 54-68

- Tudor Ciumara
Volume 20, issue 3, 2016
- DOES ECONOMIC CRISIS AFFECT THE DEMAND FOR MONEY: EVIDENCE FROM CROATIA? pp. 6-27

- Tonci Svilokos
- MEASURING FINANCIAL SYSTEMIC STRESS IN ROMANIA: A COMPOSITE INDICATOR APPROACH pp. 28-38

- Ágnes Nagy, Annamária Dézsi-Benyovszki and Imre Székely
- THE IMPACT OF CORPORATE GOVERNANCE ON CASH HOLDINGS: A COMPARATIVE STUDY OF THE MANUFACTURING AND SERVICE INDUSTRY pp. 40-79

- Asad Khan, Memoona Bibi and Sarfaraz Tanveer
- FRACTIONAL COINTEGRATION ANALYSIS OF STOCK MARKET AND EXCHANGE RATES: THE CASE OF TURKEY pp. 80-94

- Deniz Erer, Elif Erer and Tuna Can Güleç
- THE IMPACT OF THE DOMESTIC AND FOREIGN MACROECONOMIC NEWS ANNOUNCEMENTS ON THE TURKISH STOCK MARKET pp. 95-107

- Ibrahim Yasar Gok and Sefa Topuz
Volume 20, issue 2, 2016
- WHO DRIVES WHOM? INVESTIGATING THE RELATIONSHIP BETWEEN THE MAJOR STOCK MARKETS pp. 6-24

- Pinar Evrim Mandaci and Efe Cagli
- CONSIDERATIONS ON THE DISTRIBUTION OF INFORMAL ECONOMY IN THE EUROPEAN UNION pp. 25-34

- Teodora Mihăilă
- THE EFFECTS OF PROFITABILITY RATIOS ON DEBT RATIO: THE SAMPLE OF THE BIST MANUFACTURING INDUSTRY pp. 35-54

- Özge Korkmaz
- POLITICAL IDEOLOGY AND FISCAL POLICY. THE CASE OF ROMANIA pp. 55-64

- Tudor Ciumara
- THE MONETARY AUTHORITHY AND ELECTORAL CYCLE IN ROMANIA, AT A GLANCE pp. 55-64

- Adina Criste
- OPTIMIZATION OF MONETARY CREATION BY LINKING MONETARY POLICIES WITH COMMERCIAL BANKS' STRATEGIES pp. 79-90

- Victoria Cociug and Olga Timofei
Volume 20, issue 1, 2016
- ANALYSIS OF THE RELATIONSHIP BETWEEN DISCLOSURE QUALITY AND DIVIDEND PAYOUTS FROM THE AGENCY THEORY PERSPECTIVE pp. 6-20

- Dan Lin, Hsien-Chang Kuo and Lie-Huey Wang
- DOES EARNINGS MANAGEMENT CHANGE AFTER THE ADOPTION OF THE IFRS? EVIDENCE FROM ROMANIA pp. 21-36

- Laura Brad, Radu Ciobanu and Florin Dobre
- THE FACTORS AFFECTING CREDIT BUBBLES: THE CASE OF TURKEY pp. 37-53

- Özge Korkmaz, Elif Erer and Deniz Erer
- FORECASTING THE TOTAL INDEX OF TEHRAN STOCK EXCHANGE pp. 54-68

- Ghodratollah Emamverdi, Mohammad Sharif Karimi, Sima Khakie and Mojtaba Karimi
- MACROECONOMIC DETERMINANTS OF STOCK MARKET DEVELOPMENT: EVIDENCE FROM BORSA ISTANBUL pp. 69-89

- Yılmaz Bayar
- EFFICIENCY OF THE ALGERIAN BANKS IN THE POST LIBERALIZATION PERIOD pp. 90-106

- Ishaq Hacini and Khadra Dahou
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