Financial Studies, "Victor Slăvescu" Centre for Financial and Monetary Research, National Institute of Economic Research, Romanian Academy

ISSN: 2066-6071

Publikationen (sortiert nach Titel in absteigender Richtung): 41 bis 57 von 57
ErscheinungsjahrTitelAutor:innen
2019The nexus between financial literacy and the credit status in IndonesiaIsmanto, Hadi; Muharam, Harjum; Pangestuti, Irene Rini Demi; Widiastuti, Anna; Rofiq, Fathur
2018Investment and the golden rule in the European UnionMarinescu, Ada Cristina
2018Estimating the credit risk score for non-bank stock exchange intermediaries in the eventuality of changeover to euro currencyBarangă, laurențiu Paul; Panait, Iulian
2018A comparative study of the volatility and efficiency of commodity futures index roll methodsAroskar, Rajarshi; Ogden, William A.
2018Romania's external debt: Trend and characteristics after the accession to the European UnionMilea, Camelia
2018Does corporate social responsibility lead to superior performance?Liu, Shu-Bing; Kang, Hsin-Hong; Hsueh, Shun-Jen
2018High-speed technology trading innovations and capital market performance in BulgariaStefanova, Julia
2018Monetary integration beyond theory: Euro area practical achievementsCriste, Adina
2018Development of periodic loan repayment models considering rhythmic skipsEroglu, Abdullah; Erdas, Mehmet Levent
2018The incidence of insurance on economic growth in Italy, France, United Kingdom and RomaniaCostache, Bianca
2018Vulnerabilities of the Romanian economy generated by the foreign trade, the external debt and the exchange rate after Romania's accession to the European UnionMilea, Camelia
2018Uusing the symmetric models garch (1.1) and garch-m (1.1) to investigate volatility and persistence for the european and us financial marketsDuță, Violeta
2018Modeling asymmetric volatility in the Chicago Board Options Exchange Volatility IndexUral, Mert; Demireli, Erhan
2018Analysis of how the european stock markets perceive the dynamics of macroeconomic indicators through the sentiment index and the purchasing managers' indexLupu, Iulia
2018Theoretical and practical approaches to fiscal consolidation: The experience of RomaniaLeonida, Ionel
2018The impact of investment diversification on financial performance of commercial banks in EthiopiaHailu, Aregu Asmare; Tassew, Abel Worku
2018A risk assessment framework for alternative investment funds, both at fund level and market levelPanait, Iulian; Barangă, Paul
Publikationen (sortiert nach Titel in absteigender Richtung): 41 bis 57 von 57
Browsen