The journal is indexed in:

RePEc, EconLit, EBSCO, DOAJ, Jour Informatics, SCIPIO, DRJI

2017

Volume 21, issue 3

LONG MEMORY IN TURKISH STOCK MARKET AND EFFECTS OF CENTRAL BANKS’ ANNOUNCEMENTS
Elif ERER, Deniz ERER

THE NEXUS OF TREASURY SINGLE ACCOUNT POLICY IN NIGERIA: AN EXPLORATORY DISCOURSE
Bamidele A. BADEJO, Adelowokan A. OLUWASEYI, Morenike R. TAIWO

DID MANAGER BEHAVE OVERCONFIDENTLY?
Bayu Sindhu RAHARJA, Dahli SUHAELI, Muji MRANANI

THE VIRTUAL CURRENCY AND FINANCIAL BLOCKCHAIN TECHNOLOGY. CURRENT TRENDS IN DIGITAL FINANCE
Otilia MANTA, Napoleon POP

Volume 21, issue 2

THE EFFECT OF ENTERPRISE RISK MANAGEMENT ON FIRM PERFORMANCE: A CASE STUDY ON TURKEY
Zekai ŞENOL, Süleyman Serdar KARACA

META-ANALYTIC REVIEW OF THE RELATION BETWEEN BOARD GLOBALIZATION AND FIRM PERFORMANCE
Ibrahim YAGLI, Burcu ŞİMŞEK

RETHINKING A GLOBAL SUSTAINABLE MONETARY POLICY IN A POST-CRISIS ERA
Adina CRISTE

Volume 21, issue 1

IS MINSKY’S INSTABILITY HYPOTHESIS ACCEPTABLE FOR THE RELATION BETWEEN BORROWING RATE AND PROFITABILITY?
Özge KORKMAZ

RELATIVE PRICE VARIABILITY AND INFLATION IN TURKEY: RESULTS FROM KALMAN FILTER ESTIMATION
Rahmi YAMAK, Havvanur Feyza ERDEM, Sinem KOÇAK

TRACKING FINANCIAL BUBBLES ON ROMANIA STOCK MARKET
Mihai-Andrei MITRACHE, Nicolas BOITOUT

THE UNEMPLOYMENT RATE - AN ELUSIVE INDICATOR
Maria Magdalena CRIVEANU

2016

Volume 20, issue 4

SYSTEMIC RISK AND COJUMPS IN HIGH FREQUENCY DATA
Radu LUPU, Alexandra MATEESCU

EXCHANGE RATE EVOLUTION IN ROMANIA - EFFECTS ON THE FINANCIAL-MONETARY MARKET
Camelia MILEA

THEORETICAL ASPECTS REGARDING THE TAX FACILITIES FOR ENTERPRISES IN ROMANIA AND SOME EU MEMBER STATES
Nicoleta MIHĂILĂ

FISCAL RESPONSIBILITY WITHIN AN UNSTABLE ECONOMIC AND POLITICAL ENVIRONMENT
Tudor CIUMARA

 

Volume 20, issue 3

DOES ECONOMIC CRISIS AFFECT THE DEMAND FOR MONEY: EVIDENCE FROM CROATIA?
Tonći SVILOKOS

MEASURING FINANCIAL SYSTEMIC STRESS IN ROMANIA: A COMPOSITE INDICATOR APPROACH
Ágnes NAGY, Annamária DÉZSI-BENYOVSZKI, Imre SZÉKELY

THE IMPACT OF CORPORATE GOVERNANCE ON CASH HOLDINGS: A COMPARATIVE STUDY OF THE MANUFACTURING AND SERVICE INDUSTRY
Asad KHAN, Memoona BIBI, Sarfaraz TANVEER

FRACTIONAL COINTEGRATION ANALYSIS OF STOCK MARKET AND EXCHANGE RATES: THE CASE OF TURKEY
Deniz ERER, Elif ERER, Tuna Can GÜLEÇ

THE IMPACT OF THE DOMESTIC AND FOREIGN MACROECONOMIC NEWS ANNOUNCEMENTS ON THE TURKISH STOCK MARKET
Ibrahim Yasar GOK, Sefa TOPUZ

 

Volume 20, issue 2

WHO DRIVES WHOM? INVESTIGATING THE RELATIONSHIP BETWEEN THE MAJOR STOCK MARKETS
Pinar EVRIM MANDACI, Efe Caglar CAGLI

CONSIDERATIONS ON THE DISTRIBUTION OF INFORMAL ECONOMY IN THE EUROPEAN UNION
Teodora MIHĂILĂ

THE EFFECTS OF PROFITABILITY RATIOS ON DEBT RATIO: THE SAMPLE OF THE BIST MANUFACTURING INDUSTRY
Özge KORKMAZ

POLITICAL IDEOLOGY AND FISCAL POLICY. THE CASE OF ROMANIA
Tudor CIUMARA

THE MONETARY AUTHORITHY AND ELECTORAL CYCLE IN ROMANIA, AT A GLANCE
Adina CRISTE

OPTIMIZATION OF MONETARY CREATION BY LINKING MONETARY POLICIES WITH COMMERCIAL BANKS' STRATEGIES
Victoria COCIUG, Olga TIMOFEI

 

Volume 20, issue 1

ANALYSIS OF THE RELATIONSHIP BETWEEN DISCLOSURE QUALITY AND DIVIDEND PAYOUTS FROM THE AGENCY THEORY PERSPECTIVE
Dan LIN Hsien-Chang KUO Lie-Huey WANG

DOES EARNINGS MANAGEMENT CHANGE AFTER THE ADOPTION OF THE IFRS? EVIDENCE FROM ROMANIA
Laura BRAD Radu CIOBANU Florin DOBRE

THE FACTORS AFFECTING CREDIT BUBBLES: THE CASE OF TURKEY
Özge KORKMAZ Elif ERER Deniz ERER

FORECASTING THE TOTAL INDEX OF TEHRAN STOCK EXCHANGE
Ghodratollah EMAMVERDI Mohammad Sharif KARIMI Sima KHAKIE Mojtaba KARIMI

MACROECONOMIC DETERMINANTS OF STOCK MARKET DEVELOPMENT: EVIDENCE FROM BORSA ISTANBUL 
Yılmaz BAYAR

EFFICIENCY OF THE ALGERIAN BANKS IN THE POST LIBERALIZATION PERIOD
Ishaq HACINI Khadra DAHOU

Volume 19, issue 4

THE RELATIONSHIP BETWEEN PRICE-TRADE VOLUME AND WEATHER EFFECT IN ISTANBUL STOCK EXCHANGE: ASYMMETRIC CAUSALITY TEST ANALYSIS
Gülfen TUNA, Çisem BEKTUR

FISCAL RULES: REASONS AND EVOLUTION
Iulia LUPU

SOCIAL INCLUSION DEVELOPMENTS - A EUROPEAN CROSS-COUNTRY PERSPECTIVE
Iustina Alina BOITAN, Ionela COSTICĂ

EVOLUTION OF TAXATION AT MICROECONOMIC LEVEL IN THE PERIOD 2003-2014
Nicoleta MIHĂILĂ

AN EMPIRICAL STUDY OF RELATIONSHIP BETWEEN SHARE PRICE AND INTRINSIC VALUE OF COMPANY
Ping-fu (Brian) LAI, Wing Ka WONG

MODELING THE INFORMAL ECONOMY: A REVIEW
Teodora MIHĂILĂ

Volume 19, issue 3

MONETARY POLICY EFFECTIVENESS IN STIMULATING THE CEES CREDIT RECOVERY
Dan OLTEANU

FEATURES OF THE ROMANIAN FINANCIAL SYSTEM REGARDING THE INTEREST RATE TRANSMISSION
Gabriela PREDA

ASSESING THE COSTS AND THE CONSEQUENCES OF THE ROMANIAN ECONOMIC CRISIS
Radu SOVIANI

POSITION OF THE ROMANIAN TAX SYSTEM WITHIN THE TYPOLOGY OF TAX SYSTEMS
Ionel LEONIDA

A PANEL DATA ANALYSIS OF MACROECONOMIC DETERMINANTS OF CORPORATE BIRTHS IN THE EU MEMBER STATES DURING 2004-2012
Maruşa BECA, Ileana NIȘULESCU-ASHRAFZADEH

THE EFFECTS OF THE FEDERAL RESERVE’S TAPERING ANNOUNCEMENTS ON THE US REAL ESTATE MARKET
Adrian Cantemir CĂLIN

THE FISCAL FRAMEWORK IN ROMANIA – THE EFFICIENCY OF FISCAL RULES
Bogdan Andrei DUMITRESCU

COMPLEX DECISION MAKING IN THE FINANCIAL SERVICES SECTOR – THE APPLICABILITY AND USAGE OF THE SYSTEM DYNAMICS METHOD
Nicoleta V. ROBU

Volume 19, issue 2A

LONGEVITY IMPACT ON THE LIFE ANNUITIES ON ROMANIA BY COMPARATIVE ANALYSIS WITH BULGARIA AND HUNGARY
Lucian Claudiu ANGHEL, Cristian Ioan SOLOMON

INSURANCE OF RISKS SPECIFIC TO NONREIMBURSABLE FUNDS MANAGEMENT SYSTEM IN ROMANIA
Dumitru BADEA, PhD Student Ciprian NICOLAE

TURBULENCE AND SYSTEMIC RISK IN THE EUROPEAN UNION FINANCIAL SYSTEM
Sorin DUMITRESCU

ADAPTING ACCOUNTING AND TECHNICALFINANCIAL REPORTING TO NEW REQUIREMENTS IN THE INSURANCE SECTOR
Costin A. ISTRATE

SIMULATING AN ARTIFICIAL STOCK MARKET WITH GENETIC PROGRAMMING INDUCED TRADING STRATEGIES
Diana MARICA

THE SHORT-RUN PERFORMANCE OF THE IPO SHARES OF NUCLEARELECTRICA AND ROMGAZ. AN EMPIRICAL ANALYSIS
Ion MICU

CONNECTING CORPORATE GOVERNANCE TO COMPANIES’ PERFORMANCE BY ARTIFICIAL NEURAL NETWORKS
Darie MOLDOVAN, Mircea RUSU

IMPLICATIONS OF INSURANCE DISTRIBUTION DIRECTIVE ON THE COSTS OF TRAINING IN ROMANIA
Laura Elly NAGHI

PUBLIC - PRIVATE PARTNERSHIPS IN EMERGING MARKETS: CHALLENGES AND FUNDING OPPORTUNITIES
Iana OVSIANNYKOVA

ESTIMATE OF THE LEVEL OF PENSIONS AND INCOME REPLACEMENT RATES IN TERMS OF THE LONGEVITY RISK
Mariana POPA

ARE PENSION SCHEMES DISCRIMINATORY IN EU MEMBER STATES?
Mihaela Roberta STANEF-PUICA

PUBLIC BANKS IN UKRAINE: SUPPORTS AND CHALLENGES
Nataliia VERSAL

Volume 19, issue 2

A COPULA-GARCH MODEL FOR A PROXY PORTFOLIO FOR BET-FI INDEX
Marius ACATRINEI

CENTRAL BANK POLICY DURING TIMES OF FINANCIAL INSTABILITY - EXPERIENCES OF SOME EUROSYSTEM’S CANDIDATES
Adina CRISTE

EUROPEAN EQUITY MARKET RETURN, VOLATILITY AND LIQUIDITY SPILLOVER DYNAMICS DURING THE EUROZONE DEBT CRISIS
Sorin DUMITRESCU

FINANCIAL INTEGRATION IN THE EURO AREA AND SMES’ ACCESS TO FINANCE: EVIDENCE BASED ON AGGREGATE SURVEY DATA
Maricica MOSCALU

MODELLING AND PREDICTING THE INDIRECT TAXES IN ROMANIA
Mihaela SIMIONESCU

THEORETICAL AND PRACTICAL ASPECTS REGARDING THE TENSIONS ON THE MONETARY MARKET FROM ROMANIABRIEF ANALYSIS OF THE EXCHANGE RATE
Alina Georgeta AILINCĂ

PUBLIC REVENUES AND SOCIAL POLARIZATION IN ROMANIA
Alin Stelian DOBRE

BRIEF ANALYSIS OF THE PATH FROM BANK-BASED FINANCIAL INTERMEDIATION TO SECURITIZATION
Andreea ALEXANDRU

Volume 19, issue 1

AN OPTIMALITY ASSESSMENT OF THE FISCAL CONSOLIDATION PROCESS INITIATED BY ROMANIA IN 2010
Bogdan Andrei DUMITRESCU

DETERMINANTS OF SUSTAINABLE BANKS’ PROFITABILITY. EVIDENCE FROM EU COUNTRIES
Iustina Alina BOITAN

TESTING FOR BUBBLES IN THE HOUSING MARKET: FURTHER EVIDENCE FROM TURKEY
Feyyaz ZEREN, Res. Ass. Oylum Şehvez ERGÜZEL

CONNECTION OF EUROPEAN ECONOMIC GROWTH WITH THE DYNAMICS OF VOLATILITY OF STOCK MARKET RETURNS
Adrian Cantemir CĂLIN

A VOLATILITY ANALYSIS OF THE EURO CURRENCY AND THE BOND MARKET
Oana Cristina POPOVICI

LIQUIDITY AND INFORMATIONAL INEFFICIENCY. THE CASE OF ROMANIA
Sorin-Iulian CIOACĂ

APPROACHES OF PUBLIC FINANCE SUSTAINABILITY TAKING INTO ACCOUNT THE CURRENT ECONOMIC CONTEXT
Alexandra ADAM

CONNECTIONS BETWEEN FOREIGN DIRECT INVESTMENTS AND RESEARCH-DEVELOPMENTINNOVATION ACTIVITY
Camelia MILEA

2014

Volume 18, issue 4

FINANCIAL INNOVATIONS AND PRUDENTIAL REGULATION - IMPACT OF NEW RULES OF BASEL III
Victoria COCIUG
Victoria (Postolache) DOGOTARI

ROMANIAN FINANCIAL MARKET’S REACTION TO FED TAPERING TALK DURING 2013
Iulian PANAIT

MEASURING THE FINANCIAL PERFORMANCE OF THE EUROPEAN SYSTEMICALLY IMPORTANT BANKS
Ioana-Iuliana TOMULEASA
Vasile COCRIŞ

COMPARATIVE ANALYSIS REGARDING THE ENTERPRISES TAXATION IN ROMANIA AND SOME EUROPEAN UNION MEMBER STATES
Nicoleta MIHĂILĂ

THE IMMINENT HOUSING COLLAPSE - WILL HISTORY REPEAT ITSELF?
DBA Ping-fu (Brian) LAI
MSc Fin Ho Sum CHAN

Volume 18, issue 3

ASSESSING THE FORECASTS ACCURACY OF THE WEIGHT OF FISCAL REVENUES IN GDP FOR ROMANIA
Mihaela SIMIONESCU

INVESTIGATING THE DETERMINANTS OF LONG-RUN SOVEREIGN RATING
Emilian - Constantin MIRICESCU

EVALUATION OF THE FISCAL CONFORMANCE IN ROMANIA IN THE PRE AND POST EU ACCESSION
Ionel LEONIDA

AUTOMATIC SOCIAL STABILIZERS WHAT THEY ARE AND HOW THEY FUNCTION
Candidate Alina Georgeta AILINCA

REFERENCE POINTS FOR FINANCIAL INSTABILITY IN THE EURO ZONE CANDIDATES COUNTRIES
Adina CRISTE

TESTING STOCK MARKETS’ INTEGRATION FROM CENTRAL AND EASTERN EUROPEAN COUNTRIES WITHIN EURO ZONE
Viorica CHIRILA, PhD Ciprian CHIRILA

CO-MOVEMENTS OF REGIME SHIFTS IN GBP CURRENCY PAIRS AROUND BOE QUANTITATIVE EASING ANNOUNCEMENTS
Radu LUPU, Adrian Cantemir CALIN

 

Volume 18, issue 2

Title: THE CURRENCY CRISIS TRIGGER OF THE ROMANIAN FINANCIAL CRISIS OF 2008
PhD Candidate Radu SOVIANI

MONETARY POLICY FORCE EFFECT BY MEANS OF BANKS MONEY CREATION
PhD Victoria COCIUG, PhD Olga TIMOFEI

A STUDY OF CHINESE YUAN (RMB) APPRECIATION ACCOMPANYING WITH OTHERS FACTORS INCLUDING FOREIGN DIRECT INVESTMENT (FDI) AND THEIR EFFECT ON CHINA ECONOMY
Ping-fu (Brian) LAI, Kam Hung William CHOI

A MIXED FREQUENCY ANALYSIS OF CONNECTIONS BETWEEN MACROECONOMIC VARIABLES AND STOCK MARKETS IN CENTRAL AND EASTERN EUROPE
PhD Radu LUPU, PhD Adrian Cantemir CALIN

ECONOMIC AND FINANCIAL RISK TAKING IN CENTRAL AND EASTERN EUROPEAN COUNTRIES
PhD Iulia LUPU

Volume 18, issue 1

A POINT OF VIEW ON THE LOGIC MODELLING OF THE FINANCIAL NETWORK
PhD Mihail DIMITRIU

ABOUT THE FISCAL CULTURE CONSOLIDATION IN ROMANIA DURING THE COMMUNIST AND POST- COMMUNIST PERIOD
PhD Ionel LEONIDA

ASPECTS OF THE EURO AREA FINANCIAL SYSTEM FRAGMENTATION
PhD Candidate Alina Georgeta ALINICA

THE CURRENT ACCOUNT OF ROMANIA EVOLUTION, FACTORS OF INFLUENCE, FINANCING
PhD Camelia MILEA

 

2013

Volume 17, issue 4

THE DETERMINANTS OF BANKING SYSTEM VULNERABILITY IN THE REPUBLIC OF MOLDOVA 
PhD Dorina CLICHICI

THE ACCESS TO FINANCE IN MOLDOVA - BANKING COMPARED TO MICROFINANCE ORGANIZATIONS
PhD Student Viorica POPA

A GENERAL ASSESSMENT OF THE MONETARY INTEGRATION PROCESS IN EUROPE AFTER EURO ADOPTION
PhD Adina CRISTE

ASPECTS CONCERNING ECONOMIC AND SOCIAL FACTORS DEVELOPMENTS - AN ASSESSMENT AT THE EUROPEAN UNION LEVEL
PhD Candidate Alina Georgeta AILINCĂ,  PhD Floarea IORDACHE

BOOK REVIEW "TOWARDS A GLOBAL CURRENCY. PRELIMINARIES"
PhD Tudor CIUMARA

Volume 17, issue 3

FINANCIAL STABILITY – PREREQUISITE FOR THE PROPER FINANCING OF THE REAL ECONOMY
PhD Napoleon POP

QUALITATIVE RISK COVERAGE IN AGRICULTURE THROUGH DERIVATIVE FINANCIAL INSTRUMENTS BASED ON SELYANINOV INDICES
PhD Cristian KEVORCHIAN, PhD Camelia  GAVRILESCU, PhD Gheorghe  HURDUZEU

ROLE OF THE DELEGATED ADMINISTRATOR COMPARED WITH THE ROLE OF THE SPECIAL ADMINISTRATOR IN BANKING 
PhD Ianfred SILBERSTEIN

NECESSITY OF A NEW TYPE OF SYMBIOSIS BETWEEN THE NOMINAL AND THE REAL ECONOMY
PhD Lucian C. IONESCU

RISKS AND CONSTRAINTS FOR THE MONETARY STABILITY
PhD Camelia MILEA

Volume 17, issue 2

A FORAY INTO THE TANGLE OF GLOBALIZATION MEASUREMENT
PhD Iulia LUPU

INTERNAL RATING – AN ACTIVE INSTRUMENT IN THE MANAGEMENT OF BANKING RISKS. CASE STUDY BCR
PhD Gabriela Cornelia PICIU

THE INSURANCE MARKET OF THE REPUBLIC OF MOLDOVA IN TERMS OF INVESTMENT POTENTIAL
PhD Angela TIMUS, Cristina UNGUR

ASPECTS REGARDING THE SOCIO-ECONOMIC DETERMINISM – ANALYSIS AT THE EUROPEAN UNION LEVEL
PhD Floarea IORDACHE, PhD Candidate Alina Georgeta AILINCA

SOVEREIGN INVESTMENT FUNDS, OPPORTUNITY WITHIN THE CONTEXT OF THE GLOBAL ECONOMIC CRISIS
PhD Candidate Doina DRANICEANU

Volume 17, issue 1

THE COMING OF AGE OF FINANCIAL STUDIES JOURNAL
PhD Tudor CIUMARA

FOREWORD
PhD Gheorghe MANOLESCU

THE INTRODUCTION OF GLOBAL INCOME TAX SHOULD BRING ADDITIONAL REVENUE TO THE STATE
Interview with PhD Valentin LAZEA

HAYEK – „THE ROAD TO SERFDOM” ROMANIA, RETURN FROM THE „THE ROAD TO SERFDOM”
PhD Floarea IORDACHE

DOCUMENTARY: HYPOSTASES OF THE SUSTAINABLE DEVELOPMENT
Florin Răzvan BĂLĂŞESCU

BANKING RISKS IN A GLOBAL ECONOMY
PhD Gabriela-Cornelia PICIU

IMPACT OF THE FISCAL POLICIES ON THE STANDARD OF LIVING OF THE EMPLOYEES
PhD Elena PĂDUREAN, PhD Ionel LEONIDA 

INERTIAL BEHAVIOUR AND THE SUSTAINABLE DEVELOPMENT OF THE FIRM
PhD Mihail DIMITRIU 

2012

Volume 16, issue 4

Volume 16, issue 3

Volume 16, issue 2

Volume 16, issue 1

2011

Volume 15, issue 4

Volume 15, issue 3

Volume 15, issue 2

Volume 15, issue 1

2010

Volume 14, issue 4

Volume 14, issue 3

Volume 14, issue 2

Volume 14, issue 1