2024
Volume 28, issue 3
THE IMPACT OF THE
GEORGIAN REAL ESTATE INVESTMENT TRUST ON THE PERFORMANCE OF VARIOUS
PORTFOLIOS
Vakhtang BERISHVILI, Monika DIDMANIDZE
THE CHINESE NATIONAL
HOLIDAY’S INFLUENCE ON THE CHINESE STOCK MARKET AND VARIOUS
INDUSTRIES: AN EMPIRICAL ANALYSIS
Ping-fu (Brian) LAI, Haoqin
HUANG, Haobin LIANG
RECONNOITERING AND
MAPPING AN EFFECT OF FINANCIAL SOCIALISATION ON FINANCIAL LITERACY:
A CRITICAL LITERATURE REVIEW
Adam NDOU
Volume 28, issue 2
A NOTE ON THE EARLY
WARNING SYSTEM OF CHANGE POINTS: COMBINATION OF REGIME SWITCHING AND
THRESHOLD MODELS
Reza HABIBI
INNOVATIVE
TECHNOLOGIES FOR THE INSURANCE SECTOR IN THE REPUBLIC OF MOLDOVA
Cristina UNGUR
ENHANCING ENERGY
POLICY ADOPTION WITHIN THE SOUTH AFRICAN FINANCIAL SERVICES SECTOR
Erika van der WESTHUIZEN
Volume 28, issue 1
THE IMPACT OF ENERGY
CONSUMPTION IN CRYPTO ASSETS ON CRYPTO ASSET PRICES AND CARBON
EMISSIONS: CASE OF BITCOIN AND ETHEREUM
Meltem BİLİRER,
Feyyaz ZEREN
THE ROLE OF FINANCIAL
INCLUSION IN WOMEN’S ECONOMIC EMPOWERMENT: EVIDENCE FROM NIGERIA
Omoniyi Yemi OGUNRINDE
THE IMPACT OF ISLAMIC
BANKS' PROFITABILITY INDEX ON THE PERFORMANCE OF THE AMMAN STOCK
EXCHANGE DURING 2011-2021
Maher Mohammad Saleh SHARRAB, Zaid
Othman Mohammed DANNOUN
2023
Volume 27, issue 4
ASSESSMENT OF
FOREIGN CURRENCY RISK AND OTHER FACTORS THAT AFFECT CIVIL SOCIETY
ORGANIZATIONS PERFORMANCE IN GEORGIA
Teona KOPALEISHVILI,
Vakhtang BERISHVILI
FINANCIAL LITERACY
AND ENTREPRENEURIAL TRAITS AS DETERMINANTS OF THE SMALL AND
MEDUIM-SCALE ENTERPRISES’ PROFITABILITY IN OGUN STATE
Adedayo
Patrick ADEYEMI, Lasun M. GBADAMOSI, Muyiwa B. ADEYEMI
INVESTIGATING THE
INFLUENCE OF THE SHADOW ECONOMY ON NON-PERFORMING LOANS IN EUROPEAN
ECONOMIES: A PANEL GMM ANALYSIS
Cosmin Octavian CEPOI, Bogdan
Andrei DUMITRESCU, Ionel LEONIDA
ABOUT HOUSEHOLDS'
WEALTH AND THE EFFECTS OF SOME TAX MEASURES THAT MAY AFFECT IT
Nicoleta MIHĂILĂ
RISKS INDUCED BY THE
TREND AND LEVEL OF FOREIGN DEBT IN ROMANIA
Camelia MILEA
Volume 27, issue 3
FINANCIAL LITERACY OF
YOUNG BLACK AFRICAN ADULTS IN RURAL AND LOW-INCOME AREAS IN SOUTH
AFRICA
Adam NDOU
CONSTANT CORRELATION
MODEL FOR OPTIMAL PORTFOLIO FORMATION AND EXPECTED SHORTFALL RISK
MEASUREMENT: EMPIRICAL EVIDENCE FROM INDONESIAN STOCK MARKET
Febrina DEVITA, Yuciana WILANDARI, Di Asih I MARUDDANI
INVESTOR ATTENTION
AND EXCHANGE TRADED FUND RETURNS IN SOUTH AFRICA: THE ROLE OF
INVESTORS’ INTERNET SEARCH ACTIVITY
Damien KUNJAL
LENDING DECISION,
SACCO SIZE AND LIQUIDITY OF FARMERS BASED DEPOSIT-TAKING SACCOS IN
KENYA
John Ndung’u GACHENGA, Dickson Kamau KINYARIRO, Charles
Kamau WAMBU, Justus Nderitu MAINA
Volume 27, issue 2
EFFECT OF CORRUPTION
IN PUBLIC PROCUREMENT ON TAX REVENUE IN KENYA: A LITERATURE REVIEW
Steve Ondieki NYANAMBA, Charles Kombo OKIOGA
THE IMPACT OF CENTRAL BANK DIGITAL
CURRENCY ON DIGITAL FINANCIAL INCLUSION: EVIDENCE FROM NIGERIA
Omoniyi Yemi OGUNRINDE
EVALUATION OF PREDICTION ACCURACY MODELS FOR BANKRUPTCY IN
INDONESIAN BANKS
Adi GUNANTO
Volume 27, issue 1
RELATIONSHIP BETWEEN
DIVIDEND YIELD AND FINANCIAL PERFORMANCE OF LISTED FIRMS AT THE
NAIROBI SECURITIES EXCHANGE
Noah KEMBOI, Dickson Kamau
KINYARIRO, Methuselah Bichage GESAGE, Justus Nderitu MAINA
INVESTIGATING THE
OPTIMAL EXIT TIMING AND LEVERAGE DURING THE COVID-19 CRISIS
Mohamed Ben ABDELHAMID, Makram BELLALAH
PARENTAL FINANCIAL
SOCIALISATION AND SOCIOECONOMIC STATUS
Adam NDOU
2022
Volume 26, issue 4
PROSPECTS FOR
ACHIEVING ROMANIA'S EXTERNAL EQUILIBRIUM
Camelia MILEA
ENHANCING
FINANCIAL ACCOUNTABILITY IN SOUTH AFRICAN LOCAL MUNICIPALITIES: A
CONSEQUENCE MANAGEMENT VIEWPOINT
Prince Chukwuneme ENWEREJI
THE MINIMUM WAGE
AND ECONOMIC GROWTH. ANALYSIS IN THE CASE OF ROMANIA
Nicoleta
MIHĂILĂ
FINANCIAL EDUCATION AND DIGITALIZATION. THE CASE OF ROMANIA
Tudor CIUMARA
Volume 26, issue 3
PROBLEMS AND
PROSPECTS TO SUSTAINABLE DEVELOPMENT IN COVID-19 “NEW NORMAL”:
EVIDENCE FROM WESTERN BALKANS’ STOCK MARKETS
Julia
Stoyancheva STEFANOVA
THE ASYMMETRICAL
IMPACT OF POLICY RESPONSES ON VOLATILITY OF SOVEREIGN DEFAULT SWAPS
Deniz ERER
DETERMINANTS OF FINANCIAL STABILITY IN SUB SAHARAN AFRICA
Meshesha Demie JIMA, Patricia L. MAKONI
CENTRAL BANKS
CONTRIBUTIONS IN MANAGING THE PANDEMIC CRISIS. A SUMMARY AT THE EU
COUNTRIES LEVEL
Adina CRISTE
Volume 26, issue 2
ENTREPRENEURIAL FIRMS
AND FINANCING CHANNELS: INTERDEPENDENCE ELEMENTS
Tudor
CIUMARA
IMPACT OF WORKING
CAPITAL MANAGEMENT ON PROFITABILITY OF MACEDONIAN INDUSTRIAL
COMPANIES
Aleksandar NAUMOSKI, Maja NAUMOVSKA
FACTORS AFFECTING THE
ADOPTION OF FINANCIAL TECHNOLOGY AMONG THE BANKING CUSTOMERS IN
EMERGING ECONOMIES
Mesbaul Haque SAZU, Sakila Akter JAHAN
Volume 26, issue 1
A CRITICAL REVIEW
OF NEOCLASSICAL AND BEHAVIOURAL THEORIES OF MERGER WAVES
Md.
Atiqur RAHMAN, Lauren USHER
THE EFFECT OF
BANKING COMPETITION ON FINANCIAL STABILITY IN CENTRAL AFRICAN
ECONOMIC AND MONETARY COMMUNITY ZONE
Thierry MAMADOU ASNGAR,
Bruno Emmanuel ONGO NKOA, Muhamadu Awal Kindzeka WIRAJING
FINANCIAL
INCLUSION IN DEVELOPING COUNTRIES. A REVIEW OF THE LITERATURE ON THE
COSTS AND IMPLICATIONS
Danstun NGONYANI
2021
Volume 25, issue 4
THE ACTIVITY OF
VICTOR SLĂVESCU - ECHOES FROM HIS EPOCH
Iulia LUPU, Adina
CRISTE, Tudor CIUMARA
OPTIMAL HEDGE RATIO
IN TURKISH STOCK INDEX FUTURES MARKET: A DECO-FIAPARCH APPROACH
İsmail ÇELİK, Ahmet Furkan SAK
THE MICROPRUDENTIAL
STRESS TESTING FOR BANKING SYSTEM. A STUDY CASE ON ALGERIAN PRIVATE
BANK, USING ACCOUNTING APPROACH
Mehdi BOUCHETARA, Sidi EYIH,
Hinde HADJ SLIMANE KHEROUA
GLOBALIZATION, TAX
POLICY AND TAX HAVENS. SOME CRITICAL CONSIDERATIONS
Nicoleta
MIHĂILĂ
AN
ATTEMPT TO DESIGN A FISCAL PROFILE OF THE ROMANIAN TAX SYSTEM
Ionel LEONIDA
Volume 25, issue 3
MEASURING SYSTEMIC
RISK OF CHINA'S LISTED BANKS
Ping ZHANG, Yiru WANG, Min ZHAO,
Tzu-Yi YANG
THE AUDIT OPINION
IN THE ROLE OF STOCK PRICES FLUCTUATIONS ON THE MACEDONIAN STOCK
EXCHANGE
Ivan DIONISIJEV, Zorica BOZHINOVSKA LAZAREVSKA
ANALYZING THE
TECHNICAL EFFICIENCY USING DATA ENVELOPMENT ANALYSIS METHOD: THE
CASE OF GULF COOPERATION COUNCIL COUNTRIES
Ala’ BASHAYREH,
Samer A. ABDELHADI
COMPARING
CONNECTION BETWEEN STOCK PRICE & DIVIDEND POLICY IN PUBLIC AND
PRIVATE SECTOR: PAKISTAN EVIDENCE
Muhammad AMIN, Jahanzaib
ALVI, Muhammad REHAN
Volume 25, issue 2
ROLE OF EARLY
WARNING SYSTEMS IN PREDICTING THE STOCK PRICE CRISIS: WHAT WE LEARNT
FROM GRASSHOPPER AND ANTS FABLE
Reza HABIBI
IMPACT OF BOARD
TRAITS ON ORGANISATIONS’ DIVIDEND PAYOUT. EVIDENCE FROM PAKISTAN
Adnan Ullah KHAN
MODERATING EFFECT OF
SACCO SIZE ON THE NEXUS BETWEEN GOVERNANCE COSTS AND FINANCIAL
SOUNDNESS OF DEPOSIT TAKING SACCOS IN NAIROBI CITY COUNTY, KENYA
Justus Nderitu MAINA, Peter Musangi NDWIGA, Dickson Kamau KINYARIRO
REFLECTIONS ON
THE CONSEQUENCES AND RISKS OF AN ECONOMY’S INDEBTEDNESS
Camelia MILEA
IMPLEMENTING QUANTITATIVE TECHNIQUES IN ASSESSING THE RISK ATTITUDES
Dalis Maria DRĂGHICI
CATEGORIES OF
TAXPAYERS VS. TAX OPTIMIZATION AND EVASION. STUDY ON THEIR FORMS OF
MATERIALIZATION FROM THE PERSPECTIVE OF THE TYPE OF TAXPAYER -
NATURAL PERSONS VERSUS LEGAL PERSONS
Bianca Cristina
CIOCANEA, Ioan Cosmin PIȚU, Dragoș Mihai UNGUREANU
Volume 25, issue 1
THE IMPACTS OF
SPEECHES ON NOWCASTING GDP: A CASE STUDY ON EURO AREA MARKETS
Necmettin Alpay KOÇAK
EFFECT OF
INTER-INDUSTRY COMPETITION AND FINANCIAL FREEDOM ON COMPETITIVENESS
OF COMMERCIAL BANKING SECTOR
Champika LIYANAGAMAGE
EMPIRICAL ANALYSIS OF
THE FACTORS DETERMINING THE PROFITABILITY OF INSURANCE COMPANIES IN
THE REPUBLIC OF NORTH MACEDONIA
Gjorgi GOCKOV, Tanja
KAMENJARSKA
THE IMPACT OF FEES ON THE RETURN OF THE SECOND PENSION PILLAR IN
ROMANIA
Bogdan Andrei DUMITRESCU, Cătălina Adriana HÂNDOREANU
THE ROLE OF
CORPORATE GOVERNANCE IN MANAGING SMALL INCOME IN INDONESIAN
STATE-OWNED ENTERPRISE
Puji NURHAYATI, Aglis Andhita HATMAWAN
FINANCIAL RATIOS
AFFECTING SYSTEMATIC RISK IN JOINT-STOCK COMPANIES: BIST TECHNOLOGY
(XUTEK) INDUSTRY COMPANIES CASE IN TURKEY
Bilgehan TEKİN
2020
Volume 24, issue 4
THE EFFECTS OF
COVID-19 OUTBREAK ON FINANCIAL MARKETS
Ismail ÇELIK, Tayfun
YILMAZ, Süleyman EMIR, Ahmet Furkan SAK
CONSEQUENCES OF
COVID-19 ON THE INTERNATIONAL TRADE IN GOODS AND SERVICES:
FORECASTS, DEVELOPMENTS, RESTRICTIONS
Camelia MILEA
THE CORRELATION
BETWEEN ECONOMIC INDICATORS AND TAIWAN STOCK MARKET - A CASE STUDY
OF LEADING AND LAGGING INDICATORS
Tzu-Yi YANG
PERFORMANCE OF FISCAL
MEASURES IN RECTIFYING FISCAL IMBALANCES IN SAUDI ARABIA
Sana
NASEEM
ASSESSMENT OF THE SHADOW ECONOMY IN THE REPUBLIC OF MOLDOVA:
THEORETICAL GROUNDING AND PRACTICAL RESULTS OF THE INPUT-OUTPUT
MODEL
Alexandru CEBAN
Volume 24, issue 3
EMPIRICAL ANALYSIS
OF THE RELATIONSHIP BETWEEN PURCHASING MANAGERS INDEX AND BIST
INDUSTRIAL INDEX UNDER STRUCTURAL BREAKS
Emrah ŞAHİN, Selim
GÜNGÖR, Süleyman Serdar KARACA
JORDANIAN BANKING
SYSTEM: ANALYSIS OF TECHNICAL EFFICIENCY AND PERFORMANCE
Mohammad W. ALOMARI, Ala' BASHAYREH, Samer ABDELHADI
A FINANCIAL
SYSTEMIC STRESS INDEX FOR ROMANIA
Andreea DRAGHIA, Sorina
Emanuela ȘTEFONI
FINANCIAL
INNOVATION PRACTICE, SACCO SIZE AND FINANCIAL SUSTAINABILITY OF
DEPOSIT TAKING SAVING AND CREDIT CO-OPERATIVES IN KENYA
Justus Nderitu MAINA, Richard Muthii KIAI, Teresia Ngina KYALO
CAPITAL STRUCTURE
AND FINANCIAL PERFORMANCE: CASE STUDY FROM PAKISTAN PHARMACEUTICAL
SECTOR
Muhammad REHAN, Süleyman Serdar KARACA, Jahanzaib ALVI
THE RESPONSE
OF FINANCIAL MARKET INDICES TO COVID-19 PANDEMIC
Muhammad
Atif SATTAR, Felix E. ARCILLA Jr., Muhammad Fahad SATTAR
Volume 24, issue 2
OVERVIEW OF THE
NATIONAL BANK OF ROMANIA’S ROLE IN THE LAST CENTURY
Adina
CRISTE, Iulia LUPU
CAN BITCOIN BE A
STABLE INVESTMENT?
Ismail ÇELIK
THE ANALYSIS OF
RELATIONSHIP BETWEEN PARTICIPATION-30 INDEX IN TURKEY AND COMMODITY
MARKETS, NATIONAL AND INTERNATIONAL INDEXES
Mustafa KEVSER,
Mesut DOĞAN
FINANCIAL
PERSPECTIVES OF ISLAMIC BANK’S IN OMAN
Shariq MOHAMMED,
Mohammad Noor ALAM
SKILL GAP
PERCEIVED BETWEEN EMPLOYERS AND ACCOUNTING GRADUATES IN ETHIOPIA
Mohammed GETAHUN, Deresse MERSHA
Volume 24, issue 1
THE RELATIONSHIP
BETWEEN INFLATION AND ECONOMIC GROWTH: EXPERIENCES OF SOME INFLATION
TARGETING COUNTRIES
Ramazan EKINCI, Osman TÜZÜN, Fatih CEYLAN
A POST-KEYNESIAN
APPROACH AS AN ALTERNATIVE TO NEOCLASSICAL IN THE EXPLANATION OF
MONETARY AND FINANCIAL SYSTEM
Savvas ZACHARIADIS
KNOWLEDGE SHARING,
INNOVATION AND FIRM PERFORMANCE: EVIDENCE FROM TURKEY
Mesut DOĞAN, Hüsna DOĞAN
TESTING J-CURVE
EFFECT ON TRADE BALANCE IN TURKISH ECONOMY
Zubeyir Can KANSEL, Bilgin BARI
2019
Volume 23, issue 4
CONSEQUENCES OF
THE GREEK ECONOMIC CRISIS ON THE STRUCTURE OF THE GREEK BANKING
SYSTEM
Simeon KARAFOLAS
DEVELOPMENT OF A
FINANCIAL MODEL IN A BUSINESS: THE CASE OF A COMPANY IN PLASTICS
INDUSTRY
Alexander JAKI, Charalampos AITSIDIS, Fotios PANAGIOTOPOULOS,
Dimitrios MADITINOS
A STUDY ON R&D
EXPENDITURE AND CORPORATE VALUE OF CHINESE HIGH-TECH INDUSTRY
Guan-Chih CHEN, Hexuan LI, Shuling TSAO
THE CONTROL OF
SMALL MEDIUM BANKS PROFITABILITY USING FINANCIAL MODELING APPROACH
UNDER CERTAINTY AND UNCERTAINTY
Konstantinos J. LIAPIS, Sotirios J. TRIGKAS
WAYS OF INVOLVING
CENTRAL BANK IN SUPPORTING ECONOMIC GROWTH
Adina CRISTE
ROMANIA'S TRADE
RELATIONSHIP WITH THE EUROPEAN UNION IN THE PROSPECT OF JOINING THE
EURO AREA
Camelia MILEA
Volume 23, issue 3
CAUSAL RELATIONSHIP
BETWEEN BITCOIN PRICE VOLATILITY AND TRADING VOLUME: ROLLING WINDOW
APPROACH
Nebiye YAMAK, Rahmi YAMAK, Serkan SAMUT
IS THERE A RATIONAL
BUBBLE IN BIST 100 AND SECTOR INDICES?
Ayşegül KIRKPINAR, Elif ERER, Deniz ERER
SYSTEMIC RISK: AN
OVERVIEW
Cristina Georgiana ZELDEA
THE NEXUS BETWEEN
FINANCIAL LITERACY AND THE CREDIT STATUS IN INDONESIA
Hadi ISMANTO, Harjum MUHARAM, Irene Rini Demi PANGESTUTI, Anna
WIDIASTUTI, Fathur ROFIQ
ASSESSING THE
DETERMINANTS FOR THE ADOPTION OF E-BANKING SERVICES: THE CASE OF
DASHEN BANK
Zerihun Ayenew BIRBIRSA, Ethiopia TEFERI, Tesfaye HAILU
Volume 23, issue 2
PROSPECTS AND
CHALLENGES FACING FRONTIER STOCK MARKETS IN THE WESTERN BALKANS: QUO
VADIS?
Julia St. STEFANOVA
ANALYSIS OF THE RELATIONSHIP
BETWEEN TAX REVENUE AND GROSS VALUE ADDED IN THE ROMANIAN ECONOMY
Victor OGNERU
THE PENSION FORMULA
IN ROMANIA – INEFFICIENCIES AND POSSIBLE SOLUTIONS
Bogdan-Andrei DUMITRESCU, Andreea Elena DRĂGHIA
CONTAGION PATTERN
IDENTIFICATION THROUGH MINIMUM SPANNING TREES DURING THE ASIAN
FINANCIAL CRISIS
Vasile-George MARICA
TESTING THE
VALIDITY OF FAMA FRENCH FIVE FACTOR ASSET PRICING MODEL: EVIDENCE
FROM TURKEY
Feyyaz ZEREN, Tayfun YILMAZ, Murat BELKE
THE IMPACT OF
CAPITAL MARKET ON THE ECONOMIC GROWTH IN OMAN
Md. Shabbir ALAM, Muawya Ahmed HUSSEIN
Volume 23, issue 1
THE IMPACT OF
CORPORATE GOVERNANCE MECHANISMS ON THE PERFORMANCE OF COMMERCIAL
BANKS: THE CASE OF PRIVATE BANKS IN ETHIOPIA
Wondimeneh Asrat YIHUN, Abiy Getahun KOLECH, Million Gizaw TOLE
THE EFFECT OF RISK
MANAGEMENT ON FINANCIAL PERFORMANCE OF COMMERCIAL BANKS IN ETHIOPIA
Abel Worku TASSEW, Aregu Asmare HAILU
AN ECONOMETRIC
ANALYSIS OF DETERMINANTS OF DEBT SUSTAINABILITY IN ETHIOPIA
Timkete ALEME
LIMITATIONS OF
OUTCOME BASED ACCOUNTING CURRICULUM IN ETHIOPIA
Deresse MERSHA, Mohammed GETAHUN
2018
Volume 22, issue 4
MONETARY
INTEGRATION BEYOND THEORY - EURO AREA PRACTICAL ACHIEVEMENTS
Adina CRISTE
ESTIMATING THE
CREDIT RISK SCORE FOR NON-BANK STOCK EXCHANGE INTERMEDIARIES IN THE
EVENTUALITY OF CHANGEOVER TO EURO CURRENCY
Laurențiu Paul BARANGĂ, 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
Camelia MILEA
Volume 22, issue 3
DOES CORPORATE SOCIAL
RESPONSIBILITY LEAD TO SUPERIOR PERFORMANCE?
Shu-Bing LIU, Hsin-Hong KANG, Shun-Jen HSUEH
A COMPARATIVE STUDY
OF THE VOLATILITY AND EFFICIENCY OF COMMODITY FUTURES INDEX ROLL
METHODS
Rajarshi (Raj) AROSKAR, William A. OGDEN
THE IMPACT OF
INVESTMENT DIVERSIFICATION ON FINANCIAL PERFORMANCE OF COMMERCIAL
BANKS IN ETHIOPIA
Aregu Asmare HAILU, Abel Worku TASSEW
THE INCIDENCE OF
INSURANCE ON ECONOMIC GROWTH IN ITALY, FRANCE, UNITED KINGDOM AND
ROMANIA
Bianca COSTACHE
Volume 22, issue 2
HIGH-SPEED TECHNOLOGY
TRADING INNOVATIONS AND CAPITAL MARKET PERFORMANCE IN BULGARIA
Julia STEFANOVA
A RISK ASSESSMENT
FRAMEWORK FOR ALTERNATIVE INVESTMENT FUNDS, BOTH AT FUND LEVEL AND
MARKET LEVEL
Iulian PANAIT, Paul BARANGĂ
ROMANIA’S EXTERNAL
DEBT: TREND AND CHARACTERISTICS AFTER THE ACCESSION TO THE EUROPEAN
UNION
Camelia MILEA
THEORETICAL AND
PRACTICAL APPROACHES TO FISCAL CONSOLIDATION - THE EXPERIENCE OF
ROMANIA
Ionel LEONIDA
Volume 22, issue 1
DEVELOPMENT OF
PERIODIC LOAN REPAYMENT MODELS CONSIDERING RHYTHMIC SKIPS
Abdullah EROGLU, Mehmet Levent ERDAS
MODELING ASYMMETRIC
VOLATILITY IN THE CHICAGO BOARD OPTIONS EXCHANGE VOLATILITY INDEX
Mert URAL, Erhan DEMİRELİ
ANALYSIS OF HOW THE
EUROPEAN STOCK MARKETS PERCEIVE THE DYNAMICS OF MACROECONOMIC
INDICATORS THROUGH THE SENTIMENT INDEX AND THE PURCHASING MANAGERS'
INDEX
Iulia LUPU
INVESTMENT AND THE
GOLDEN RULE IN THE EUROPEAN UNION
Ada Cristina 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
Violeta DUȚĂ
2017
Volume 21, issue 4
A NOTE ON THE
RELATIONSHIP LINKING REMITTANCES AND FINANCIAL DEVELOPMENT IN
PAKISTAN
Adnan KHURSHID, Yin KEDONG, Adrian Cantemir CĂLIN, Oana Cristina
POPOVICI
THE EFFECTS OF
FINANCIAL RISK MANAGEMENT ON FIRM’S VALUE: AN EMPIRICAL EVIDENCE
FROM BORSA ISTANBUL STOCK EXCHANGE
Zekai ŞENOL, Süleyman Serdar KARACA, Seda ERDOĞAN
SPECIAL TAX
REGIMES IN TAXING SMALL AND MICRO BUSINESS ACTIVITIES: THEORETICAL
APPROACHES AND PATENT TAX EXPERIENCE
Angela TIMUŞ, Victoria IORDACHI, Victoria COCIUG
A LOOK AT THE
EVOLUTION AND CHARACTERISTICS OF THE ROMANIAN FOREIGN DEBT OVER THE
PAST YEARS
Camelia MILEA
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