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Scientific Papers

From Institute of Financial Studies
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0024: Best practices for the risk based approach assessment of the anti-money laundering program within a financial institutionBest practices for the risk based approach assessment of the anti-money laundering program within a financial institution Downloads
Ioana Anca-Maria Codescu
0023: Study on the correlation between the development of the capital market and the economic growth by groups of countries Downloads
Ioana-Maria Dobjanschi
0022: Taxation and the cost of leasing in Romania: an analytic examination Downloads
Mihaela Teodorescu and Mihai Mieila
0021: Implications of modifying internal managerial control regulations for a uniform risk management methodology regarding non-reimbursable financing Downloads
Ciprian Nicolae
0020: Optimizing the allocation of private pension funds in Romania (2nd Pillar) Downloads
Leonardo Badea, Ion Stancu and Adina-Alexandra Darman-Guzun
0019: The fundamental analysis of the capital investment in exchange-traded fund Downloads
Alina Cristina Racu
0018: The financial stability index (5) – Estimated by the Institute of Financial Studies Downloads
Ion Stancu, Andrei Tudor Stancu and Iulian Panait
0017: The impact of world government indicators on market investment behavior Downloads
Raluca Simina Bilti
0016: New empirical evidence on E.M.H.: case of developed and emerging markets – a microeconomic approach Downloads
Iuliana Maria Ursu
0015: The influence of capital structure on financial performance of microfinance institutions Downloads
Razvan-Gabriel Hapau
0014: Relationship between Foreign Exchange Rate and Stock Price of Commercial Banks in Romanian financial market Downloads
Violeta Duta
0013: A game theory approach to optimizing the banking and financial resolution framework Downloads
Gabriel Mitache
0012: Influence of country rating on national economic growth, before and after euro Downloads
Ana Maria Necula and Andrei Tudor Stancu
0011: Risk-return puzzle in internationally diversified equity portfolios – the Romanian perspective Downloads
Ioana-Alexandra Radu and Cristian-George Vlaicu
0010: Impact study of telematics auto insurance Downloads
Cornel Coca Constantinescu, Ion Stanciu and Iulian Panait
0009: Financial supervision aspects regarding surveillance of the insurance market Downloads
Catalin Goia
0008: The financial stability index (4) – Estimated by the Institute of Financial Studies Downloads
Ion Stancu, Andrei Tudor Stancu and Iulian Panait
0007: Adjusting classical portfolio theories with behavioral practices Downloads
Nicu Stanciu and Adrian Mitroi
0006: Portfolio diversification with ETFs Downloads
Mirel Flavius Popa
0005: Risk management on the capital market and use of multi-factorial models for estimating the stocks return Downloads
Adelina-Monica Moraru
0004: Risk assessment of a stock portfolio using value-at-risk Downloads
Adrian Nicolae Capatana
0003: Forecasting extreme events on financial markets Downloads
Ionut Cosmin Nastase
0001: The financial stability index (3) – Estimated by the Institute of Financial Studies Downloads
Ion Stancu, Andrei Tudor Stancu and Iulian Panait
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