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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 ().

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Volume 22, issue 4, 2018

MONETARY INTEGRATION BEYOND THEORY-EURO AREA PRACTICAL ACHIEVEMENTS pp. 6-24 Downloads
Adina Criste
ESTIMATING THE CREDIT RISK SCORE FOR NON BANK STOCK EXCHANGE INTERMEDIARIES IN THE EVENTUALITY OF CHANGEOVER TO EURO CURRENCY pp. 25-40 Downloads
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 Downloads
Camelia Milea

Volume 22, issue 3, 2018

DOES CORPORATE SOCIAL RESPONSIBILITY LEAD TO SUPERIOR PERFORMANCE? pp. 6-22 Downloads
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 Downloads
Rajarshi (Raj) Aroskar, and A. William Ogden
THE IMPACT OF INVESTMENT DIVERSIFICATION ON FINANCIAL PERFORMANCE OF COMMERCIAL BANKS IN ETHIOPIA pp. 41-55 Downloads
Aregu Asmare Hailu and Abel Worku Tassew
THE INCIDENCE OF INSURANCE ON ECONOMIC GROWTH IN ITALY, FRANCE, UNITED KINGDOM AND ROMANIA pp. 56-65 Downloads
Bianca Costache

Volume 22, issue 2, 2018

HIGH-SPEED TECHNOLOGY TRADING INNOVATIONS AND CAPITAL MARKET PERFORMANCE IN BULGARIA pp. 6-37 Downloads
Julia Stefanova
A RISK ASSESSMENT FRAMEWORK FOR ALTERNATIVE INVESTMENT FUNDS, BOTH AT FUND LEVEL AND MARKET LEVEL pp. 38-51 Downloads
Iulian Panait and Paul Baranga
ROMANIA'S EXTERNAL DEBT: TREND AND CHARACTERISTICS AFTER THE ACCESSION TO THE EUROPEAN UNION pp. 52-64 Downloads
Camelia Milea
THEORETICAL AND PRACTICAL APPROACHES TO FISCAL CONSOLIDATION - THE EXPERIENCE OF ROMANIA pp. 65-76 Downloads
Ionel Leonida

Volume 22, issue 1, 2018

DEVELOPMENT OF PERIODIC LOAN REPAYMENT MODELS CONSIDERING RHYTHMIC SKIPS pp. 6-19 Downloads
Abdullah Eroglu and Mehmet Levent Erdas
MODELING ASYMMETRIC VOLATILITY IN THE CHICAGO BOARD OPTIONS EXCHANGE VOLATILITY INDEX pp. 20-31 Downloads
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 Downloads
Iulia Lupu
INVESTMENT AND THE GOLDEN RULE IN THE EUROPEAN UNION pp. 53-63 Downloads
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 Downloads
Violeta Duță

Volume 21, issue 4, 2017

A NOTE ON THE RELATIONSHIP LINKING REMITTANCES AND FINANCIAL DEVELOPMENT IN PAKISTAN pp. 6-26 Downloads
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 Downloads
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 Downloads
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 Downloads
Camelia Milea

Volume 21, issue 3, 2017

LONG MEMORY IN TURKISH STOCK MARKET AND EFFECTS OF CENTRAL BANKS’ ANNOUNCEMENTS pp. 6-18 Downloads
Elif Erer and Deniz Erer
THE NEXUS OF TREASURY SINGLE ACCOUNT POLICY IN NIGERIA: AN EXPLORATORY DISCOURSE pp. 19-31 Downloads
Bamidele A. Badejo, Adelowokan A. Oluwaseyi and Morenike R. Taiwo
DID MANAGER BEHAVE OVERCONFIDENTLY? pp. 32-44 Downloads
Bayu Sindhu Raharja, Dahli Suhaeli and Muji Mranani
THE VIRTUAL CURRENCY AND FINANCIAL BLOCKCHAIN TECHNOLOGY. CURRENT TRENDS IN DIGITAL FINANCE pp. 45-59 Downloads
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 Downloads
Zekai Şenol and Süleyman Serdar Karaca
META-ANALYTIC REVIEW OF THE RELATION BETWEEN BOARD GLOBALIZATION AND FIRM PERFORMANCE pp. 31-55 Downloads
Ibrahim Yagli and Burcu Şi̇mşek
RETHINKING A GLOBAL SUSTAINABLE MONETARY POLICY IN A POST-CRISIS ERA pp. 56-69 Downloads
Adina Criste

Volume 21, issue 1, 2017

IS MINSKY’S INSTABILITY HYPOTHESIS ACCEPTABLE FOR THE RELATION BETWEEN BORROWING RATE AND PROFITABILITY? pp. 6-27 Downloads
Özge Korkmaz
RELATIVE PRICE VARIABILITY AND INFLATION IN TURKEY: RESULTS FROM KALMAN FILTER ESTIMATION pp. 28-40 Downloads
Rahmi Yamak, Havvanur Feyza Erdem and Sinem Koçak
TRACKING FINANCIAL BUBBLES ON ROMANIA STOCK MARKET pp. 41-62 Downloads
Mihai Mitrache and Nicolas Boitout
THE UNEMPLOYMENT RATE – AN ELUSIVE INDICATOR pp. 63-70 Downloads
Maria Magdalena Criveanu

Volume 20, issue 4, 2016

SYSTEMIC RISK AND COJUMPS IN HIGH FREQUENCY DATA pp. 6-16 Downloads
Radu Lupu and Alexandra Mateescu
EXCHANGE RATE EVOLUTION IN ROMANIA - EFFECTS ON THE FINANCIAL-MONETARY MARKET pp. 17-36 Downloads
Camelia Milea
THEORETICAL ASPECTS REGARDING THE TAX FACILITIES FOR ENTERPRISES IN ROMANIA AND SOME EU MEMBER STATES pp. 37-51 Downloads
Nicoleta Mihăilă
FISCAL RESPONSIBILITY WITHIN AN UNSTABLE ECONOMIC AND POLITICAL ENVIRONMENT pp. 54-68 Downloads
Tudor Ciumara

Volume 20, issue 3, 2016

DOES ECONOMIC CRISIS AFFECT THE DEMAND FOR MONEY: EVIDENCE FROM CROATIA? pp. 6-27 Downloads
Tonci Svilokos
MEASURING FINANCIAL SYSTEMIC STRESS IN ROMANIA: A COMPOSITE INDICATOR APPROACH pp. 28-38 Downloads
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 Downloads
Asad Khan, Memoona Bibi and Sarfaraz Tanveer
FRACTIONAL COINTEGRATION ANALYSIS OF STOCK MARKET AND EXCHANGE RATES: THE CASE OF TURKEY pp. 80-94 Downloads
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 Downloads
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 Downloads
Pinar Evrim Mandaci and Efe Cagli
CONSIDERATIONS ON THE DISTRIBUTION OF INFORMAL ECONOMY IN THE EUROPEAN UNION pp. 25-34 Downloads
Teodora Mihăilă
THE EFFECTS OF PROFITABILITY RATIOS ON DEBT RATIO: THE SAMPLE OF THE BIST MANUFACTURING INDUSTRY pp. 35-54 Downloads
Özge Korkmaz
POLITICAL IDEOLOGY AND FISCAL POLICY. THE CASE OF ROMANIA pp. 55-64 Downloads
Tudor Ciumara
THE MONETARY AUTHORITHY AND ELECTORAL CYCLE IN ROMANIA, AT A GLANCE pp. 55-64 Downloads
Adina Criste
OPTIMIZATION OF MONETARY CREATION BY LINKING MONETARY POLICIES WITH COMMERCIAL BANKS' STRATEGIES pp. 79-90 Downloads
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 Downloads
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 Downloads
Laura Brad, Radu Ciobanu and Florin Dobre
THE FACTORS AFFECTING CREDIT BUBBLES: THE CASE OF TURKEY pp. 37-53 Downloads
Özge Korkmaz, Elif Erer and Deniz Erer
FORECASTING THE TOTAL INDEX OF TEHRAN STOCK EXCHANGE pp. 54-68 Downloads
Ghodratollah Emamverdi, Mohammad Sharif Karimi, Sima Khakie and Mojtaba Karimi
MACROECONOMIC DETERMINANTS OF STOCK MARKET DEVELOPMENT: EVIDENCE FROM BORSA ISTANBUL pp. 69-89 Downloads
Yılmaz Bayar
EFFICIENCY OF THE ALGERIAN BANKS IN THE POST LIBERALIZATION PERIOD pp. 90-106 Downloads
Ishaq Hacini and Khadra Dahou
Page updated 2025-07-26