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 19, issue 4, 2015
- THE RELATIONSHIP BETWEEN PRICE-TRADE VOLUME AND WEATHER EFFECT IN ISTANBUL STOCK EXCHANGE: ASYMMETRIC CAUSALITY TEST ANALYSIS pp. 6-20

- Gülfen Tuna and Çisem Bektur
- FISCAL RULES: REASONS AND EVOLUTION pp. 21-31

- Iulia Lupu
- SOCIAL INCLUSION DEVELOPMENTS - A EUROPEAN CROSS-COUNTRY PERSPECTIVE pp. 32-46

- Iustina Boitan and Ionela Costica
- EVOLUTION OF TAXATION AT MICROECONOMIC LEVEL IN THE PERIOD 2003-2014 pp. 47-64

- Nicoleta Mihăilă
- AN EMPIRICAL STUDY OF RELATIONSHIP BETWEEN SHARE PRICE AND INTRINSIC VALUE OF COMPANY pp. 65-92

- Ping-fu (Brian) Lai, and Wing Ka Wong
- MODELING THE INFORMAL ECONOMY: A REVIEW pp. 93-103

- Teodora Mihăilă
Volume 19, issue 3, 2015
- MONETARY POLICY EFFECTIVENESS IN STIMULATING THE CEES CREDIT RECOVERY pp. 8-24

- Dan Olteanu
- THE EFFECTS OF THE FEDERAL RESERVE’S TAPERING ANNOUNCEMENTS ON THE US REAL ESTATE MARKET pp. 79-90

- Adrian Cantemir Calin
- THE FISCAL FRAMEWORK IN ROMANIA – THE EFFICIENCY OF FISCAL RULES pp. 91-106

- Bogdan Dumitrescu
Volume 19, issue 2, 2015
- A COPULA-GARCH MODEL FOR A PROXY PORTFOLIO FOR BET-FI INDEX pp. 8-16

- Marius Acatrinei
- CENTRAL BANK POLICY DURING TIMES OF FINANCIAL INSTABILITY - EXPERIENCES OF SOME EUROSYSTEM’S CANDIDATES pp. 17-29

- Adina Criste
- EUROPEAN EQUITY MARKET RETURN, VOLATILITY AND LIQUIDITY SPILLOVER DYNAMICS DURING THE EUROZONE DEBT CRISIS pp. 30-50

- Sorin Dumitrescu
- FINANCIAL INTEGRATION IN THE EURO AREA AND SMES’ ACCESS TO FINANCE: EVIDENCE BASED ON AGGREGATE SURVEY DATA pp. 51-66

- Maria Moscalu
- MODELLING AND PREDICTING THE INDIRECT TAXES IN ROMANIA pp. 67-77

- Mihaela Simionescu
- THEORETICAL AND PRACTICAL ASPECTS REGARDING THE TENSIONS ON THE MONETARY MARKET FROM ROMANIA – BRIEF ANALYSIS OF THE EXCHANGE RATE pp. 78-91

- Alina Ailincă
- PUBLIC REVENUES AND SOCIAL POLARIZATION IN ROMANIA pp. 92-103

- Alin Stelian Dobre
- BRIEF ANALYSIS OF THE PATH FROM BANKBASED FINANCIAL INTERMEDIATION TO SECURITIZATION pp. 104-113

- Andreea Alexandru
Volume 19, issue 1, 2015
- AN OPTIMALITY ASSESSMENT OF THE FISCAL CONSOLIDATION PROCESS INITIATED BY ROMANIA IN 2010 pp. 8-20

- Bogdan Dumitrescu
- DETERMINANTS OF SUSTAINABLE BANKS’ PROFITABILITY. EVIDENCE FROM EU COUNTRIES pp. 21-39

- Iustina Boitan
- TESTING FOR BUBBLES IN THE HOUSING MARKET: FURTHER EVIDENCE FROM TURKEY pp. 40-52

- Feyyaz Zeren and Oylum Şehvez Ergüzel
- CONNECTION OF EUROPEAN ECONOMIC GROWTH WITH THE DYNAMICS OF VOLATILITY OF STOCK MARKET RETURNS pp. 53-66

- Adrian Cantemir Calin
- A VOLATILITY ANALYSIS OF THE EURO CURRENCY AND THE BOND MARKET pp. 67-79

- Oana Popovici
- LIQUIDITY AND INFORMATIONAL INEFFICIENCY. THE CASE OF ROMANIA pp. 80-92

- Sorin-Iulian Cioacă
- APPROACHES OF PUBLIC FINANCE SUSTAINABILITY TAKING INTO ACCOUNT THE CURRENT ECONOMIC CONTEXT pp. 93-101

- Alexandra Adam
- CONNECTIONS BETWEEN FOREIGN DIRECT INVESTMENTS AND RESEARCH-DEVELOPMENTINNOVATION ACTIVITY pp. 102-120

- Camelia Milea
Volume 18, issue 4, 2014
- FINANCIAL INNOVATIONS AND PRUDENTIAL REGULATION - IMPACT OF NEW RULES OF BASEL III pp. 8-18

- Victoria Cociug and (Postolache), Victoria Dogotari
- ROMANIAN FINANCIAL MARKET’S REACTION TO FED TAPERING TALK DURING 2013 pp. 19-30

- Iulian Panait
- MEASURING THE FINANCIAL PERFORMANCE OF THE EUROPEAN SYSTEMICALLY IMPORTANT BANKS pp. 31-51

- Ioana-Iuliana Tomuleasa and Vasile Cocriş
- COMPARATIVE ANALYSIS REGARDING THE ENTERPRISES TAXATION IN ROMANIA AND SOME EUROPEAN UNION MEMBER STATES pp. 52-62

- Nicoleta Mihaila
- THE IMMINENT HOUSING COLLAPSE - WILL HISTORY REPEAT ITSELF? pp. 63-104

- Ping-fu (Brian) Lai, and Ho Sum Chan
Volume 18, issue 3, 2014
- ASSESSING THE FORECASTS ACCURACY OF THE WEIGHT OF FISCAL REVENUES IN GDP FOR ROMANIA pp. 8-24

- Mihaela Simionescu
- INVESTIGATING THE DETERMINANTS OF LONG-RUN SOVEREIGN RATING pp. 25-32

- Emilian - Constantin Miricescu
- EVALUATION OF THE FISCAL CONFORMANCE IN ROMANIA IN THE PRE AND POST EU ACCESSION pp. 33-44

- Ionel Leonida
- AUTOMATIC SOCIAL STABILIZERS WHAT THEY ARE AND HOW THEY FUNCTION pp. 45-57

- Alina Ailincă
- REFERENCE POINTS FOR FINANCIAL INSTABILITY IN THE EURO ZONE CANDIDATES COUNTRIES pp. 58-75

- Adina Criste
- TESTING STOCK MARKETS’ INTEGRATION FROM CENTRAL AND EASTERN EUROPEAN COUNTRIES WITHIN EURO ZONE pp. 76-88

- Viorica Chirila and Ciprian Chirila
- CO-MOVEMENTS OF REGIME SHIFTS IN GBP CURRENCY PAIRS AROUND BOE QUANTITATIVE EASING ANNOUNCEMENTS pp. 89-101

- Radu Lupu and Adrian Cantemir Calin
Volume 18, issue 2, 2014
- THE CURRENCY CRISIS TRIGGER OF THE ROMANIAN FINANCIAL CRISIS OF 2008 pp. 8-17

- Radu Soviani
- MONETARY POLICY FORCE EFFECT BY MEANS OF BANKS MONEY CREATION pp. 18-28

- Victoria Cociug and Olga Timofei
- A STUDY OF CHINESE YUAN (RMB) APPRECIATION ACCOMPANYING WITH OTHERS FACTORS INCLUDING FOREIGN DIRECT INVESTMENT (FDI) AND THEIR EFFECT ON CHINA ECONOMY pp. 29-68

- Ping-fu (Brian) Lai, and Kam Hung William Choi
- A MIXED FREQUENCY ANALYSIS OF CONNECTIONS BETWEEN MACROECONOMIC VARIABLES AND STOCK MARKETS IN CENTRAL AND EASTERN EUROPE pp. 69-79

- Radu Lupu and Adrian Cantemir Calin
- ECONOMIC AND FINANCIAL RISK TAKING IN CENTRAL AND EASTERN EUROPEAN COUNTRIES pp. 80-93

- Iulia Lupu
Volume 18, issue 1, 2014
- A POINT OF VIEW ON THE LOGIC MODELLING OF THE FINANCIAL NETWORK pp. 8-19

- Mihail Dimitriu
- ABOUT THE FISCAL CULTURE CONSOLIDATION IN ROMANIADURING THE COMMUNIST AND POST- COMMUNIST PERIOD pp. 20-27

- Ionel Leonida
- ASPECTS OF THE EURO AREA FINANCIAL SYSTEM FRAGMENTATION pp. 28-40

- Alina Georgeta Alinica
- THE CURRENT ACCOUNT OF ROMANIA EVOLUTION, FACTORS OF INFLUENCE, FINANCING pp. 41-57

- Camelia Milea
Volume 17, issue 4, 2013
- THE DETERMINANTS OF BANKING SYSTEM VULNERABILITY IN THE REPUBLIC OF MOLDOVA pp. 8-21

- Dorina Clichici
- THE ACCESS TO FINANCE IN MOLDOVA - BANKING COMPARED TO MICROFINANCE ORGANIZATIONS pp. 22-34

- Viorica Popa
- A GENERAL ASSESSMENT OF THE MONETARY INTEGRATION PROCESS IN EUROPE AFTER EURO ADOPTION pp. 35-47

- Adina Criste
- ASPECTS CONCERNING ECONOMIC AND SOCIAL FACTORS DEVELOPMENTS - AN ASSESSMENT AT THE EUROPEAN UNION LEVEL pp. 48-55

- Alina Ailincă and Floarea Iordache
- BOOK REVIEW "TOWARDS A GLOBAL CURRENCY. PRELIMINARIES" pp. 56-58

- Tudor Ciumara
Volume 17, issue 3, 2013
- FINANCIAL STABILITY – PREREQUISITE FOR THE PROPER FINANCING OF THE REAL ECONOMY pp. 8-18

- Napoleon Pop
- QUALITATIVE RISK COVERAGE IN AGRICULTURE THROUGH DERIVATIVE FINANCIAL INSTRUMENTS BASED ON SELYANINOV INDICES pp. 19-32

- Cristian Kevorchian, Camelia Gavrilescu and Gheorghe Hurduzeu
- ROLE OF THE DELEGATED ADMINISTRATOR COMPARED WITH THE ROLE OF THE SPECIAL ADMINISTRATOR IN BANKING pp. 33-43

- Ianfred Silberstein
- NECESSITY OF A NEW TYPE OF SYMBIOSIS BETWEEN THE NOMINAL AND THE REAL ECONOMY pp. 44-51

- Lucian Ionescu
- RISKS AND CONSTRAINTS FOR THE MONETARY STABILITY pp. 52-62

- Camelia Milea
Volume 17, issue 2, 2013
- A FORAY INTO THE TANGLE OF GLOBALIZATION MEASUREMENT pp. 8-20

- Iulia Lupu
- INTERNAL RATING – AN ACTIVE INSTRUMENT IN THE MANAGEMENT OF BANKING RISKS. CASE STUDY BCR pp. 21-30

- Gabriela Piciu
- THE INSURANCE MARKET OF THE REPUBLIC OF MOLDOVA IN TERMS OF INVESTMENT POTENTIAL pp. 31-43

- Angela Timus and Cristina Ungur
- ASPECTS REGARDING THE SOCIO-ECONOMIC DETERMINISM – ANALYSIS AT THE EUROPEAN UNION LEVEL pp. 44-52

- Floarea Iordache and Alina Ailincă
- SOVEREIGN INVESTMENT FUNDS, OPPORTUNITY WITHIN THE CONTEXT OF THE GLOBAL ECONOMIC CRISIS pp. 53-63

- Doina Draniceanu
Volume 17, issue 1, 2013
- THE COMING OF AGE OF FINANCIAL STUDIES JOURNAL pp. 8-10

- Tudor Ciumara
- FOREWORD pp. 11-12

- Gheorghe Manolescu
- HAYEK – „THE ROAD TO SERFDOM” ROMANIA, RETURN FROM THE „THE ROAD TO SERFDOM” pp. 18-33

- Floarea Iordache
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