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2024 , Volume 27, Issue 3
- 5-23
Environmental Performance and Economic Development: A Spatial Approach
By Bogdan DIMA, Lucian Liviu ALBU and Ştefana Maria DIMA
- 24-64
Gender Diversity On Boards And Bank Efficiency Across Emerging Europe
By Alin Marius ANDRIEȘ, Bogdan CAPRARU, Antonio MINGUEZ-VERA and Simona NISTOR
- 65-80
Volatility Transitions in European Stock Markets: A Clustering-Based Approach
By Iulia LUPU, Adina CRISTE, Anca Dana DRAGU and Teodora Daniela ALBU
- 81-101
What Causes the Influence of Bank Channel Towards Corporate Investment: Liquidity or Economic Policy Uncertainty?
By Wentao GU, Wanting QI, Yutong WANG,Lixiang LI and Liyan PAN
- 102-119
Efficiency of Green Total Factor Production: Exploring Core Determinants
By Mingwen XU, Yang CHEN, Farhan ALI, Oleksii LYULYOV and Tetyana PIMONENKO
- 120-139
Variance and Deviations in the Budgets of Regional Enterprises as an Element of Risk Measurement in the Probabilistic Model
By Łukasz KUŹMIŃSKI, Zdzisław KES, Yuriy BILAN, Tomasz NOREK, Marcin RABE, Katarzyna WIDERA, Agnieszka ŁOPATKA and Dalia STREIMIKIENE
- 140-160
The Essential Role of Big Data: Could it Effectively Mitigate Non-Performing Loans?
By Lianhong QIU, Haidan SU, Chi-Wei SU and Meng QIN
- 161-178
Green Financing Strategies and Policy Interventions: Driving Sustainable Development in Europe's Largest Economies
By Xiaohong LI, Xinyu WANG, Abdur RAUF, Sardar Fawad SALEEM and Teodora Odett BREAZ
- 179-197
Digitization Meets Green Finance: Policy-Driven Transformation for Sustainable Tourism in Europe
By Yunfei JIANG, Yeyao WANG, Xinyu WANG and Lucia PALIU-POPA
2024 , Volume 27, Issue 2
- 5-21
The Role Of The European Directive On Renewable Energy Consumption In Reducing Pollution In CEE Countries From The European Union
By Mihaela SIMIONESCU
- 22-31
Assessing The Fiscal Implications Of The Development Of The Banking Sector. Evidence From OECD Countries
By Ionel LEONIDA, Cosmin – Octavian CEPOI, Bogdan – Andrei DUMITRESCU, Carmen OBREJA and Andrei STĂNCULESCU
- 32-49
Empowering Sustainable Human Development And Economic Growth: Evidence From Developing Word
By Xin GUO, Haoran LIU, Sardar Fawad SALEEM and Radu Alexandru BUDU
- 50-66
A Comparative Empirical Analysis Between Core And Periphery EU Economies In The Post-EMU Period: Re-Examining The EMU Sovereign Debt Crisis
By Tayfun Tuncay TOSUN
- 67-85
Cross-Country Evaluation Of Financial Reporting And Governance Practices Through Fuzzy C-Means And TOPSIS Algorithms
By Unal ERYILMAZ, Deniz KOCAK and Abdulkerim CALISKAN
- 86-110
Can The Classical Economic Model Improve The Performance Of Deep Learning? A GDP Forecasting Example
By Taoxiong Liu and Huolan Cheng
- 111-126
Green Finances And Industrial Optimization: Pathways To Financial Development And Sustainable Goals In Europe
By Yunze LI, Yun HAO, Abdur RAUF, Sardar Fawad SALEEM and Marioara IORDAN
- 127-145
Comparative Analysis And Adaptation Of Methods For Assessing The Non-Observed Economy (Case Of The Republic Of Moldova)
By Tatiana GUTIUM and Alexandru STRATAN
- 146-157
Linkage Between Pollution And Growth: The Role Of Inequality
By Corina SÂMAN, Bianca PĂUNA and Alina Mirela STANICĂ (BĂLTĂȚEANU)
2024 , Volume 27, Issue 1
- 5-25 Bubble or Not? A Time Series Classification Problem Using Machine Learning
By Radu LUPU, Adrian Cantemir CĂLIN, Iulia LUPU, Laura Andreea IANCU and Andreea Elena CROICU
- 26-49 Labour Force Participation And Sectoral Dynamics Over The Business Cycle: Regional Evidence For Ecuador
By Diego ONTANEDA JIMENEZ, Rodrigo MENDIETA MUÑOZ, David FIGUEROA CAMPOVERDE and Monica RĂILEANU SZELES
- 50-65 Access Of Firms To Bank Loans In The European Union. Are Central And Eastern European Countries Different?
By Ionuţ DUMITRU and Ionela DUMITRU
- 66-86 Analyzing The Impact Of CEO Succession Via Hierarchical Disturbance On Firms’ Growth Life Cycle: A Moderating Role Of Agency Cost
By Dongling WANG, Pablo Ruiz PALOMINO, Lucian-Ionel CIOCA and Syed Ghulam Meran SHAH
- 87-102 The Impact Of Capital Structure On Company Performance: Empirical Evidence From Kosovo
By Vlora PRENAJ, Iliriana MIFTARI and Leke PULA
- 103-118 Place-Based Policy And Firm Financial Performance: Evidence From China’s SEZs Expansion Program
By Jun CHEN, Junjie PAN and Yunfei ZENG
- 119-128 Political Relations And Bilateral Trade: Evidence From China And Trading Partners
By Yifei CAI, Yanrui WU and Tsangyao CHANG
- 129-142 Does Climate Change Influence Migration? A Comparative Analysis For China And India
By Ecaterina TOMOIAGĂ and Monica Ioana POP SILAGHI
- 143-165 Role Of Realized Skewness And Kurtosis In Predicting Volatility
By Seema REHMAN
2023 , Volume 26, Issue 4
- 5-24 The Effect Of Bank Competition And Rural Banks On Wages: Evidence From Agricultural Firms
By Peisen LIU, Shiqi CHEN and Yufeng XIA
- 25-42 Board Characteristics, Ownership Concentration And The Financial Performance Of European Listed Insurance Companies: New Empirical Evidence
By Graţiela Georgiana NOJA, Gheorghe HURDUZEU, Mirela CRISTEA, Flavia BARNA, Miruna-Lucia NĂCHESCU and Cameia GAVRILESCU
- 43-56 An Analysis Of The Impact Of Us-China Trade Frictions On Chinese Manufacturing Industries From The Perspective Of Trade Gains
By Yanfang LYU, Linhui ZHAO and Dong WANG
- 57-71 Reassessing The Nexus Between Insurance Activities And Economic Growth In China Through Quantile Approaches
By Guochen PAN, Tsangyao CHANG, Mei-Chih WANG, Mengqi LIU and Iuliana Carmen BĂRBĂCIORU
- 72-90 The Effect Of Climate Policy Shocks And Global Financial Shocks On Oil Price Shocks: Evidence From South Africa
By Ibrahim Farouq and Zunaidah Sulong
- 91-106 Impact Of Government Subsidies On Enterprises' Technological Innovation Inputs And Outputs: Moderating Effect Of Regional Innovation Capacity
By Qiuyue SUN and Lei LIU
- 107-127 The Importance Of Geopolitical Risk And Institutional Quality Indicators On Foreign Direct Investment To BRICS Countries
By Mumin Atalay CETİN and Ilker YAMAN
- 128-142 The Relationship Between Exchange Rates And Stock Prices: Comparative Example Of ASEAN And BRICS Countries
By Rahman AYDIN, Anıl LÖGÜN and Buket AYDIN
- 143-158 The Impact Of Tourism, Economic Growth, And Foreign Direct Investment On Carbon Dioxide Emissions In The Brics Countries
By Didem KUTLU and Zeynep ÇİMEN
- 159-175 Inequality And The Environment: The Synergy Or The Trade-Off Effect
By Bianca PĂUNA and Corina SÂMAN
2023 , Volume 26, Issue 3
- 5-16 Medium and Long Term Convergence in EU
By Lucian Liviu ALBU, Luminița CHIVU and Ada Cristina MARINESCU
- 17-39 Modelling Generational Changes: USA as a Study Case / (Supplementary Appendix)
By Emilian DOBRESCU
- 40-61 Global Economic Policy Uncertainty and Energy Prices: A Markov-Switching VAR Approach / (Supplementary Appendix)
By Deniz AYTAÇ
- 62-82 Impacts of Environmental Regulation on Corporate ESG Performance – Evidence from China
By Naiping Zhu, Siyi Zhang and Yueyong Zhou
- 83-100 The Influence of Information Technologies and International Tourism on Trade
By Canh Phuc Nguyen, Binh Quang Nguyen and Duyen Thuy Le Tran
- 101-119 Financial Segmentation and Transmission of Monetary and Real Shocks: Implications for Consumption, Labour, and Credit Distribution
By Madiha Munir, Saira Tufail and Ather Maqsood Ahmed
- 120-128 CNN-Based Stock Price Forecasting by Stock Chart Images
By Jeongseok Bang and Doojin Ryu
- 129-147 Balancing Progress and Sustainability: Industrial Innovation's Impact on Europe's Emission Management, Economic Expansion, and Financial Growth
By Chao MA, Hongying LI, Sardar Fawad SALEEM and Firicel MONE
- 148-161 Investing Strategies for Trading Stocks as Overreaction Triggered by Technical Trading Rules with Big Data Concerns
By Min-Yuh Day, Paoyu Huang, Yirung Cheng and Yensen Ni
- 162-182 Time-Varying Exchange Rate Pass-Through to Domestic Prices: Evidence from Turkey / (Supplementary Appendix)
By Ali İLHAN, Coşkun AKDENİZ and Metin ÖZDEMİR
2023 , Volume 26, Issue 2
2023 , Volume 26, Issue 1
- 5-24
Financial Risk Meter for The Romanian Stock Market / (Supplementary Appendix)
By Daniel Traian PELE, Alexandra Ioana CONDA, Raul Cristian BAG, Miruna MAZURENCU-MARINESCU-PELE, Vasile Alecsandru STRAT
- 25-45
Relative Signed Jump and Future Stock Returns
By Seema REHMAN, Saqib SHARIF, Wali ULLAH
- 46-63
Research on the Non-linear Impact of China's Provincial Import and Export Trade on Carbon Emissions based on PSTR Model
By Yanfang LYU, Mengfan LI, Dong WANG
- 64-77
Impact of Macroeconomic and Banking Indicators on Lending Rates - A Global Perspective
By Dan Costin NIȚESCU, Cristian ANGHEL
- 78-90
Forecasting the Government Yield Curve in China: A Cyclical Reverting Mean Approach
By Songzhuo LI, Fang ZHANG
- 91-106
The Effect of Academic Specialization on Unemployment Spells and (Re) / (Supplementary Appendix)
By Daniela Emanuela DĂNĂCICĂ
- 107-128
Impact of Seasonal Level Shift (SLS) on Time Series Forecasting / (Supplementary Appendix)
By Hayat SHAHID, Amena UROOJ, Zahid ASGHAR
- 129-144
The Evaluation of Economic Freedom Indexes of EU Countries with a GREY Hybrid MCDM Model
By Çağatay KARAKÖY, Alptekin ULUTAŞ, Darjan KARABASEVIC, Salim ÜRE, Ali Oğuz BAYRAKÇIL
- 145-164
Asymmetric Effects of Commodity Prices on Stock Returns of BRICS Countries
By Parminder KAUR, Ravi SINGLA
- 165-184
From Fiscal Policy to Income Inequality in Advanced Economies Does Institutional Quality Hinder? / (Supplementary Appendix)
By Van Bon NGUYEN
2022 , Volume 25, Issue 4
- 5-20
Catastrophe Reinsurance Pricing-Modification Of Dynamic Asset-Liability Management
By Han-Bin KANG, Hsuling CHANG, Tsangyao CHANG
- 21-40
Sectorial Price Shock Propagation Via Input-Output Linkages
By Csaba BÁLINT
- 41-57
Evaluation Of The Degree Of Uncertainty In The Type-2 Fuzzy Logic System For Forecasting Stock Index
By Zuzana JANKOVÁ, Petr DOSTÁL
- 58-73
Entropy As Leading Indicator For Extreme Systemic Risk Events
By Radu LUPU, Iulia LUPU, Tanase STAMULE, Mihai ROMAN
- 74-95
Testing The Fiscal Theory Of The Price Level In Türkiye By Using Structural Balance Data
By Kaan MASATÇI, Asuman OKTAYER BUZLUCA
- 96-111
Macroprudential Liquidity Stress Test: How To Cope With Liquidity Drains
By Florian NEAGU, Irina MIHAI
- 112-127
Impact Of Foreign Investment News On The Return, Cost Of Equity And Cash Flow Activities
By Muhammad Ateeq ur REHMAN, Furman ALI, Shang XIE
- 128-149
Does Optimal Capital Structure Exist In Chinese Military Enterprises? Evidence From Industrial Heterogeneity
By Chiwei SU, Kaihua WANG
- 150-168
The Exports Performance Of Pakistan: Evidence From The ARDL Cointegration Analysis
By Saghir Pervaiz GHAURI, Hina QADIR, Rizwan Raheem AHMED, Dalia STREIMIKIENE, Justas STREIMIKIS
- 169-181
Nonlinear Dependencies Between Green Bonds And General Financial Market Indices
By Dragos HURU, Ioana MANAFI, Ionut PANDELICA, Marilena Carmen UZLAU
- 182-205
Investor Sentiment, Extrapolation And Asset Pricing / (Supplementary Appendix)
By Huihui WU, Chunpeng YANG
2022 , Volume 25, Issue 3
- 5-30
Macroeconomic Measurement Of Expectations Versus Reality / (Supplementary Appendix)
By Emilian DOBRESCU
- 31-45
Confidence Vs. Uncertainty: An Explanation Of Housing Prices In The Old Eu Member States
By Blanka ŠKRABIĆ PERIĆ, Ana RIMAC SMILJANIĆ, Petar SORIĆ
- 46-66
Bank Efficiency And Economic Growth In The OECD Countries
By Süleyman KALE, Mehmet Hasan EKEN
- 67-87
Cohort Analysis Of Labor Participation And Sectoral Composition Of Employment In Ecuador
By Diego Danny ONTANEDA JIMÉNEZ, Wilson Alejandro GUZMÁN ESPINOZA, Luis Rodrigo MENDIETA MUÑOZ, Monica RĂILEANU SZELES
- 88-104
Shock-Dependent Exchange Rate Pass-Through Into Different Measures Of Price Indices In The Case Of Romania
By Cristina ANGHELESCU
- 105-127
The Impact Of Corporate Social Responsibility And Corporate Governance On Bank Efficiency. Comparative Analysis Of Consolidated And Nonconsolidated Banks
By Hsueh-Li HUANG, Lien-Wen LIANG, Yi-Ching SU CHU
- 128-143
What Makes The Level Of Particulate Matter Emissions Worse In Korea?
By Eunmo YANG, Hojoong BAE, Doojin RYU
- 144-166
Time-Varying Impacts Of Macroeconomic Variables On Stock Market Returns And Volatility: Evidence From Pakistan
By Abdul RASHID, Aamir JAVED, Zainab JEHAN, Uzma IQBAL
- 167-187
New Evidence From Government Debt And Economic Growth In Core And Periphery European Union Countries: Asymmetric Panel Causality
By İbrahim ÖZMEN
- 188-205
Procyclical And Countercyclical Fiscal Policies In Non-Euro Eu Member Countries
By Aurel IANCU, Dan Constantin OLTEANU
2022 , Volume 25, Issue 2
- 5-28
The Nexus between Bank M&As and Financial Development / (Supplementary Appendix)
By Alin Marius ANDRIEȘ, Sabina CAZAN, Nicu SPRINCEAN
- 29-43
Spillovers in the Presence of Financial Stress – An Application to Romania
By Anca Mihaela COPACIU, Alexandra HOROBET
- 44-53
Estimating Probability of Default for Systemically Important Financial Institutions during Covid-19 Pandemic. Evidence from Europe and USA
By George ANTON, Cosmin-Octavian CEPOI, Cătălin-Emilian HUIDUMAC-PETRESCU
- 54-64
The Competitive Advantage of Foreign Trade with Agri-Food Products
By Tudorel ANDREI, Bogdan OANCEA, Andreea MIRICĂ, Lucian Claudiu ANGHEL
- 65-82
Covid-19, Tourism and the Economy - Evidence from Pandemic Epicenters of Europe
By Yu MA, Adnan KHURSHID, Abdur RAUF, Jin ZHANG, Xinyu WANG, Claudia BOGHICEVICI
- 83-103
How Does the Reform in Pricing Mechanism Affect the World’s Iron Ore Price: A Time-Varying Parameter SVAR Model
By Yufeng CHEN, Shuo YANG
- 104-124
Re-Study on Dynamic Connectedness between Macroeconomic Indicators and the Stock Market in China / (Supplementary Appendix)
By Ngo Thai HUNG
- 125-144
The Effects of Individual and Economic Risks and Stress Testing of Non-Life Sector Profitability: The Case of the NorthMacedonian Insurance Sector
By Jordan KJOSEVSKI, Mihail PETKOVSKI, Kiril SIMEONOVSKI
- 145-164
The Role of Macroeconomic and Market Indicators in Explaining Sovereign Credit Default Swaps (CDS) Spread Changes: Evidence from Türkiye / (Supplementary Appendix)
By Mustafa Tevfik KARTAL
- 165-186
What Is New About the PPP Theory in the Nordic Countries? Evidence from Panel Unit Root Tests with Sharp Breaks and Gradual Shifts
By Mehmet DINÇ, Mustafa GÖMLEKSIZ, Özlem Gül DINÇ
- 187-201
How are industrial sector optimization, mitigation policies and taxes contributing to carbon neutrality? Threshold Evidence from Europe
By Xinyu WANG, Wensen WU, Jin ZHANG, Gheorghe HURDUZEU, Teodora Odett BREAZ, Vasile Cosmin NICULA
2022 , Volume 25, Issue 1
- 5-25
Revisiting Limits And Pitfalls Of QE In The Emerging Markets / (Supplementary Appendix)
By Daniel DĂIANU, Alexie ALUPOAIEI, Matei KUBINSCHI
- 26-44
The Nonlinear Effects Of High Technology Exports, R&D And Patents On Economic Growth: A Panel Threshold Approach To 35 OECD Countries
By Özgür ERSİN, Ayfer USTABAŞ, Tuğçe ACAR
- 45-67
High-Income Countries And The Feldstein-Horioka Puzzle: Econometric Evidence From Dynamic Common-Correlated Effects Model
By Onur ÖZDEMIR
- 68-84
Joint Modelling Of S&P500 And VIX Indices With Rough Fractional Ornstein-Uhlenbeck Volatility Model
By Ömer ÖNALAN
- 85-105
Heterogeneous Debt Financing And Share Return Volatility / (Supplementary Appendix)
By Xiaobao SONG, Wunhong SU
- 106-121
The Fractal Structure Of CDS Spreads: Evidence From The OECD Countries
By Emrah BALKAN, Umut UYAR
- 122-138
A Comparison Of Static, Dynamic And Machine Learning Models In Predicting The Financial Distress Of Chinese Firms
By Umair Bin YOUSAF, Khalil JEBRAN, Man WANG
- 139-159
Evaluation Of Dimensions Of SERVQUAL Model For Determining Quality Of Processes In Reverse Logistics Using A Delphi – Fuzzy PIPRECIA Model
By Željko STEVIĆ, Dajana NUNIĆ, Ibrahim BADI, Darjan KARABAŠEVIĆ
- 160-175
Do Regulatory Quality, Government Effectiveness And Rule Of Law Matter To Foreign Direct Investment In Nigeria?
By Hassan O. OZEKHOME
- 176-190
A Prognosis On Romania’s Capacity To Deal With Emergency Situations: Objective And Subjective Resilience During The Covid-19 Pandemic
By Dan DUNGACIU, Lucian DUMITRESCU
2021 , Volume 24, Issue
4
- 5-38
Potential Output: A Market Conditionalities Interpretation / (Supplementary Data)
By Emilian DOBRESCU
- 39-58
Responding To Criticism Of Monetary Policy In Romania In The Decade Surrounding The 2008 Financial Crisis (2004-2013)
By Lucian CROITORU
- 59-75
Digitization And Population Welfare In The New Eu Member States
By Elena PELINESCU, Marioara IORDAN, Mihaela-Nona CHILIAN
- 76-86
The Catch-Up Effect Of Economic Growth. Evidence From The European Countries
By Meral KAGITCI, Leonardo BADEA, Vasile Cosmin NICULA
- 87-102
Gauging The Effect Of Investor Sentiment On Cryptocurrency Market: An Analysis Of Bitcoin Currency
By Muhammad MOHSIN, Sobia NASEEM, Larisa IVAȘCU, Lucian-Ionel CIOCA, Muddassar SARFRAZ, Nicolae Cristian STĂNICĂ
- 103-123
FDI Determinants Revisited: Extensive Evidence
By Oana Cristina POPOVICI, Adrian Cantemir CĂLIN, Diana IVANA, Sorin DAN
- 124-140
Exploring The Relationship Between Farm Productivity And The CAP Subsidies For The NMS
By Cecilia ALEXANDRI, Corina SAMAN, Bianca PAUNA
- 141-154
Simplified Pivot Pairwise Relative Criteria Importance Assessment (PIPRECIA-S) Method
By Dragisa STANUJKIC, Darjan KARABASEVIC, Gabrijela POPOVIC, Cipriana SAVA
- 155-170
The Spillover Effect On The CEE Equity Markets And The Financial Contagion In The Context Of Financial Integration
By Claudia BOGHICEVICI, Simona STAMULE, Iulian Cornel LOLEA
- 171-188
Bank Competition And Firm Innovation Output: The Role Of Financing Constraints
By Peisen LIU, Yufeng XIA
2021 , Volume 24, Issue
3
- 5-19
Anchoring Of Inflation Expectations: The Case Of Turkey
By Selahattin TOGAY, Umit BULUT
- 20-34
The Time-Varying Tradeoff Between Inflation And Unemployment: Evidence From Saarc Economies With A State Space Approach
By Thanabalasingam VINAYAGATHASAN, Xiangcai MENG
- 35-51
Do Mutual Fund Flows Influence Stock Market Volatility? Further Evidence From Emerging Market
By Fiza QURESHI, Saba QURESHI, Sobia Shafaq SHAH
- 52-71
Human Capital And Firm Innovation: New Evidence From Asean Countries
By Chia-Hua CHANG, Dung NGUYEN-VAN
- 72-96
Country Risk And Bank Stability
By Jiang-Chuan HUANG, Hueh-Chen LIN
- 97-119
Measuring The Monetary Policy Stance In Turkey: Effects Of Traditional And Non-Traditional Monetary Policy Instruments
By Metin TETİK, Görkem KARA
- 120-139
Investigating The Relationship Between Natural Capital And Sustainable Economic Growth Using The General Equilibrium Model
By Fatemeh SALIMIANRAD, Vali BORIMNEJAD, Sahar DEHYUORI
- 140-157
Okun’s Law (A)Symmetry In See Countries: Evidence From Nonlinear Ardl Model
By Vladimir MIHAJLOVIĆ, Aleksandra FEDAJEV
- 158-171
Modelling The Budget Revenues On The Basis Of Appropriate Macroeconomic Indicators. A Case Study For Romania
By Alina Mirela BĂLŢĂŢEANU, Emilia ŢIŢAN, Daniela MANEA, Francesca Dana ANDREESCU
2021 , Volume 24, Issue
2
- 5-21
Fiscal
and Monetary Policy Interactions in a DSGE Model for the
Romanian Economy
By Alina BOBAŞU, Bogdan MURARAȘU
- 22-34
Forecasting
Stock Market Dynamics using Bidirectional Long Short-Term
Memory
By Daehyeon PARK, Doojin RYU
- 35-54
The
Impact of Global Uncertainties on Economic Growth: Evidence
from the US Economy (1996: Q1-2018: Q4)
By Ömer YALÇINKAYA, Ali Kemal ÇELİK
- 55-73
Accentuating
the Impacts of Political News on the Stock Price, Working
Capital and Performance: An Empirical Review of Emerging
Economy
By Muhammad Ateeq ur REHMAN, Syed Ghulam Meran SHAH, Lucian-Ionel CIOCA, Alin ARTENE
- 74-93
Asymmetric
Oil Price and Exchange Rate Pass-Through in the Turkish
Oil-Gasoline Markets
By Taner SEKMEN, Seher Gülşah TOPUZ
- 94-111
Emigration
Decision and the Migration Profile of the Unemployed: A Case
Study on Romania
By Mirela CRISTEA, Daniela Emanuela DĂNĂCICĂ, Graţiela Georgiana NOJA
- 112-128
The
Role of Gender in the Government Expenditure and Unemployment
Nexus: An Investigation at Regional Level for Turkey
By Orkun ÇELIK, Elif ERER
- 129-143
Estimating
the Dynamics of Household Waste Management in Turkey
By Marius PETRESCU, Ionica ONCIOIU, Anca-Gabriela PETRESCU, Florentina-Raluca BÎLCAN, Mihai PETRESCU, Dumitru-Alexandru STOICA
- 144-161
Forecasting
Inflation by Using the Sub-Groups of both CPI and WPI:
Evidence from Auto Regression (AR) and ARIMA Models
By Rizwan Raheem AHMED, Dalia STREIMIKIENE, Saghir Pervaiz GHAURI, Muhammad AQIL
- 162-180
The
Role of Dividends on Equity Valuation: Evidence from the GCC
Countries
By Bassam M. ABU-ABBAS
- 181-199
Corporate
Financial Risk Assessment and Role of Big Data; New
Perspective Using Fuzzy Analytic Hierarchy Process
By Huaiwen ZHANG, Adnan Khurshid, Xinyu WANG, Alina Mirela BĂLTĂŢEANU
2021 , Volume 24, Issue 1
- 5-16
EU’s
CAM and Potential GDP Estimates. Some Inconsistent Results in
the Case of Romania
By Bianca Păuna, George Georgescu
- 17-31
Does
Firm Size Matters for Firm Growth? Evidence from the Romanian
Health Sector
By Stelian Stancu, Eugenia Grecu, Mirela Ionela Aceleanu,
Daniela Livia Traşcă, Claudiu Tiberiu Albulescu
- 32-47
Measuring
the Jump Risk Contribution under Market Microstructure Noise
– Evidence from Chinese Stock Market
By Chao Yu, Xujie Zhao
- 48-70
Higher
Realized Moments and Stock Return Predictability
By Seema Rehman, Saqib Sharif, Wali Ullah
- 71-92
Forward-Backward-Looking
Monetary Policy Rules: Derivation and Empirics
By Abdul Rashid, Farah Waheed
- 93-108
Return
and Volatility Spillover between Stock Prices and Exchange
Rates in Croatia: A Spillover Methodology Approach
By Tihana Škrinjarić, Lidija Dedi, Boško Šego
- 109-121
New
Evidence on the Information Content of Implied Volatility of
S&P 500: Model-Free versus Model-Based
By Weiwei Zhang, Tiezhu Sun, Yechi Ma, Zilong Wan
- 122-142
The
Revenue-Maximizing Corporate Income Tax Rate for Turkey
By Hüseyin Şen, Zeynep Burcu Bulut-Çevik
- 143-165
International
Financial Market Integration and The Feldstein–Horioka
Puzzle: Evidence from Emerging Market Economies
By Naib Alakbarov, Yılmaz Bayar
- 166-179
Nonlinearity
Relationship of Inflation and Economic Growth: Role of
Institutions Quality
By Thouraya Boujelbene
2020 , Volume 23, Issue 4
- 5-32 Self-fulfillment
degree of economic expectations within an integrated space:
The European Union case study
by Emilian DOBRESCU
- 33-46 Predictive
ability of investor sentiment for the stock market
by Karam KIM, Doojin RYU
- 47-61 Investor
Herding in the China Stock Market: An Examination of ChiNext
by Hui HONG, Shulin XU, Chien-Chiang LEE
- 62-84 Host
Country Network Integration, Home Country Government
Involvement, and Corporate Overseas Survival: Evidence from
China
by Yan CHEN, Jie GAO, Yuqi CAO, Jialin GUAN
- 85-98 The
Relationship Between Total Factor Productivity and Subsidies
in the Case of Romanian Farms
by Cecilia ALEXANDRI, Bianca PAUNA, Corina SAMAN
- 99-117 The
Impact of Terrorism on Economics and Logistics Performance: An
Empirical Study from the Perspective of SAARC Member States
by Syed Abdul Rehman KHAN, Zhang YU
- 118-130 Portfolio
Decision Using Time Series Prediction and Multi-objective
Optimization
by Jia LU, Noor Muhammad SHAZEMEEN, Raimonda
MARTINKUTE-KAULIENE
-
131-153 FDI
or remittances for sustainable external financial inflows.
Theoretical delimitations and practical evidence using Granger
causality
by Valentina VASILE, Daniel ŞTEFAN, Călin-Adrian
COMES, Elena BUNDUCHI, Anamari-Beatrice ŞTEFAN
- 154-169 Weak
Redistribution Dampens Economic Growth and Causes Strong
Social Tensions
by Florin GEORGESCU, Ana-Maria CAZACU, Alexandra-Mariana
COJOCARU
- 170-184 Life
Expectancy from the Perspective of Global and Individual
Wealth and Expenditures: A Granger Causality Study of Some Eu
Countries
by Mihai PĂUNICĂ, Alexandru MANOLE,
Cătălina MOTOFEI, Gabriela - Lidia TĂNASE
2020 , Volume 23, Issue 3
- 5-30 The
Risk-Taking Channel of Monetary Policy: Do Macroprudential
Regulation and Central Bank Independence Influence the
Transmission of Interest Rates?
by Alin-Marius ANDRIEŞ, Ioana PLEŞCĂU
- 31-48 Which
Types of Stocks Herded by Foreign Institutional Investors are
Informational in the Emerging Stock Market?
by Hao FANG, Joseph C. P. SHIEH, Tsang-Yao CHANG, Meng-Wen WU
- 49-59 Testing
the Unemployment Hysteresis in G7 Countries: A Fresh Evidence
from Fourier Threshold Unit Root Test
by Veli YILANCI, Yilmaz OZKAN,
Abdulkadir ALTINSOY
- 60-77 A
Time-varying VAR Investigation of the Relationship among
Electricity, Fossil Fuel Prices and Exchange Rate in Turkey
by Abdurrahman Nazif ÇATIK
- 78-92 Globalisation,
Economic Growth and COVID-19. Insights from International
Finance
by Monica RAILEANU SZELES, Corina SAMAN
- 93-118 Effects
of Climate Change on Economic Growth: Evidence from 20 Biggest
Economies of the World
by Esra KADANALI, Omer YALCINKAYA
- 119-133 Export
Determinants of China’s FDI in Africa: Empirical Evidence
from Oil/Minerals Exporting African Countries
by Kafilah Lola GOLD Rajah RASIAH
Kian Teng KWEK Murtala MUHAMMAD
-
134-148 Comparison
of Forex Market Forecasting Tools Based on Evolino Ensemble
and Technical Analysis Indicators
by Nijolė MAKNICKIENĖ, Jelena
STANKEVIČIENĖ, Algirdas MAKNICKAS
- 149-168 Bureaucratic
Quality and FDI Inflows Nexus: A South Asian Perspective
by Adeel Ahmad DAR, Taj MUHAMMAD, M. Wasif SIDDIQI
- 169-181 Long
Term Assessment of Nuclear Technology Penetration Using
Message – The Case of Romania
by Ionut PURICA, Liviu Lucian ALBU, Marioara IORDAN, Sorin DINU,
Eugen BANCHEŞ, Ilie TURCU, Daniela DIACONU
2020 , Volume 23, Issue 2
- 5-17 Estimates of Dynamics of the COVID-19 Pandemic and of
its Impact on the Economy
by Lucian Liviu ALBU, Ciprian Ion PREDA, Radu LUPU, Carmen Elena DOBROTĂ, George Marian CĂLIN, Claudia M. BOGHICEVICI
- 18-34 Forecasting the Inflation Rate in Poland and U.S. using Dynamic Model Averaging (DMA) and Google Queriess
by Krzysztof DRACHAL
- 35-57 The Spending Behavior of Government through the Lenses of Global Uncertainty and Economic Integration
by Canh Phuc NGUYEN, Christophe SCHINCKUS
- 58-72 Stock Index Pattern Discovery viaToeplitz Inverse Covariance-Based Clustering
by Hongbing OUYANG, Xiaolu WEI, Qiufeng WU
- 73-91 Testing for Heteroskedastic Mixture of Ordinary Least Squares Errors
by Chamil W SENARATHNE, Wei JIANGUO
- 92-114 Intraday Patterns in Returns on the Romanian and Bulgarian Stock Markets
by Dan Gabriel ANGHEL, Elena Valentina ŢILICĂ, Victor DRAGOTĂ
- 115-130 Income Inequalities in Romania in the Aftermath of the 2008 Economic Crisis
by Simona ILIE
-
131-148 Forecasting and the casual relationship of sectorial energy consumptions and GDP of Pakistan by using AR,
ARIMA, and Toda-Yamamoto Wald models
by Dalia STREIMIKIENE, Rizwan Raheem AHMED, Saghir Pervaiz GHAURI Muhammad AQIL Justas STREIMIKIS
- 149-172
Multiple-Criteria Approach of the Operational Performance Evaluation in the Airline Industry: Evidence from the Emerging Markets
by Mahmut BAKIR, Şahap AKAN, Kasım KIRACI, Darjan KARABASEVIC, Dragisa STANUJKIC, Gabrijela POPOVIC
- 173-193
Developing States and the Green Challenge. A Dynamic Approach
(Supplementary
Appendix)
by Alexandra-Anca PURCEL
- 194-201
Models for Nonlinear Decisions Overview and Two Case Examples in Finance and Energy
by Ionut PURICA, Liviu Lucian ALBU, Marioara IORDAN, Sorin DINU
2020 , Volume 23, Issue 1
- 5-21 A New Semiparametric Mirrored Historical Simulation Value-At-Risk Model
by Nikola RADIVOJEVIĆ, Luka FILIPOVIĆ, Тomislav D. BRZAKOVIĆ
- 22-36 Are Fund Attributes Risk Drivers? Evidence for the Polish Mutual Funds
by Dariusz FILIP
- 37-56 Is
the Relationship Between Remittances and Economic Growth
Influenced by
the Governance and Development of the Financial Sector? New
Evidence from the Developing Countries
by Adnan KHURSHID, Yin KEDONG, Adrian Cantemir
CALIN, Cristina Georgiana ZELDEA, Sun QIANG, Duan WENQI
- 57-74
Short-Run
Pricing Performance of Local and Dual Class IPOs in
Alternative Investment Market
by Abdul WAHID, Muhammad Zubair MUMTAZ, Edmund H. MANTELL
- 75-96 Cyclicality of Fiscal Policy in the European Union
by Gheorghița DINCĂ, Marius Sorin DINCĂ, Bardhyl
DAUTI, Mirela Camelia BABA, Cătălina POPIONE
- 97-116 Effects
of Global Economic, Political and Geopolitical Uncertainties
on the Turkish Economy: A SVAR Analysis
by Ömer YALÇINKAYA, Muhammet DAŞTAN
- 117-133 Threshold Effects of Inflation on the Banking Sector Performance
by Ngo Nu Dieu KHUE Ya-Wen LAI
-
134-150 Export Composition and the Eurozone Trade Balance in Manufacturing Goods
by Carlos A. CARRASCO and Edgar D.
TOVAR-GARCIA
- 151-172
The Long-Run and Short-Run Exchange Rate Pass-Through during the Period of
Economic Reforms in Nigeria: Is it Complete or Incomplete?
by Mehmet BALCILAR, Ojonugwa
USMAN, Muhammad Sani MUSA
2019 , Volume 22, Issue 4
- 5-24 Government Expenditure, Risk and Return: A
Framework for a New Keynesian Model in the Iranian Economy
by Meysam KAVIANI, Parviz SAEEDI, Hosein DIDEHKHANI, Seyed Fakhreddin FAKHREHOSSEINI
- 25-43 Financial
Stability Or Instability? Impact From Chinese Consumer
Confidence
by Shi-Qi LIU, Xin-Zhou QI, Meng QIN, Chi-Wei SU
- 44-66 The
Role of No-Arbitrage Restrictions in Term Structure Model in
the Context of an Emerging Market
by Walli ULLAH
- 67-86 Asymmetric Price Transmission and Consumer Costs
in the Taiwanese Rice Market
by Kuo-Wei CHOU, Po-Chun LIN
- 87-99 Predicting
Bank's Subordinated Bond Issuances
by Jinyoung YU, Doojin RYU
- 100-123 A
multi-indicator multi-output mixed frequency sampling approach
for stock index forecasting
by Yuchen PAN, Zhi XIAO, Xianning WANG, Daoli YANG
- 124-147 The
Influence of Capital Flow Bonanzas on Real and Financial
Sectors: A Comparative Study of South Asia and China
by Abdul RASHID, Zainab JEHAN, Mehreen KHAN, Muhammad SAEED
- 148-159 How
is Financial Stability Impacted by Political and Economic
Stabilities in Emerging Markets? A Dynamic Panel Analysis
by Hasan Murat ERTUGRUL, Alper OZUN, Dervis
KIRIKKALELI
- 160-173 Human Capital, Innovation and Economic Growth in
the EU Countries
by Elena PELINESCU, Carmen PAUNA, Corina SAMAN, Tiberiu DIACONESCU
-
Analysis
and Surveys
- 174-184
Disparities, Gaps and Evolution Trends of
Innovation, as a Vector of Economic Development, in the
Countries of the European Union
by Carmen Elena DOBROTĂ, Nicu MARCU, Marian SIMINICĂ, Lavinia Maria NEȚOIU
2019 , Volume 22, Issue 3
- 5-24 Shocks from the Sub-prime Crisis to Bond Indices in the U.S., the EU and Emerging Markets via CDS Indices
by Hao FANG, Chung-Hua SHEN, Hwey-Yun YAU, Chien-Ping CHUNG, Yen-Hsien LEE
- 25-50 Asymmetry in the Environmental Pollution, Economic Development and Petrol Price Relationship:
MRS-VAR and Nonlinear Causality Analyses
by Özgür ERSIN, Melike BILDIRICI
- 51-61 Modelling Non-stationary Financial Time Series with Input Warped Student T-Processes
by Gheorghe RUXANDA, Sorin OPINCARIU, Stefan IONESCU
- 62-80 The
Mundell-Fleming Trilemma and the Global Financial Cycle: An Empirical Test of Competing Hypotheses .
by Josip TICA, Tomislav GLOBAN, Vladimir ARČABIĆ
- 81-95 Estimating Taylor Rules with Markov Switching Regimes for Turkey
by Özge Filiz YAĞCIBAŞI, Mustafa Ozan YILDIRIM
- 96-116 Linkage of Size Effect and Behavioral Risk in Indian Equity Market
by Saji GEORGE, P Srinivasa SURESH
- 117-131 What Influences Overprecision in Judgmental Forecasting?
by Marcin CZUPRYNA, Elżbieta KUBINSKA
- 132-147 Keynes
versus Laffer or Misleading Perspectives against Normal
Evolution
by Delia-Elena DIACONAŞU, Ion POHOAŢĂ,
Oana-Ramona SOCOLIUC
-
Analysis
and Surveys
-
148-169 Integration and Trade Specialization in Central and Eastern European Countries: Towards a New Core-Periphery Structural Differentiation?
by Gabriela Carmen PASCARIU, Gabriela DRĂGAN, Oana Ancuţa STÂNGACIU.
- 170-189
Computation of China’s Export Performance
by Gheorghe ZAMAN, Iulia Monica OEHLER-ŞINCAI
2019 , Volume 22, Issue 2
- 5-31 The
New Version (2018) of the Romanian Macromodel - The Sectoral
Module
by Emilian DOBRESCU
- 32-53 Improving
Short-Term Forecasting of Macedonian GDP: Comparing the Factor
Model with the Macroeconomic Structural Equation Model
by Dimitar EFTIMOSKI
- 54-77 A
novel spatial mixed frequency forecasting model with
application to Chinese regional GDP
by Xianning WANG, Jingrong DONG, Zhi XIAO, Guanjie HE
- 78-97 Do
Remittances Contribute to the Development of Financial
Institutions? New Evidence from the Developing World
by Sun QIANG, Adnan KHURSHID, Adrian Cantemir CALIN, Khalid
KHAN
- 98-116 The
Asymmetric Impact of Macroeconomic Shocks on Stock Returns in
Turkey: A Nonlinear ARDL Approach
by Kassouri YACOUBA, Halil ALTINTAS
- 117-130 Testing
the Structural Break of Taiwan Inbound Tourism Markets
by Jennifer C. H. MIN, Hsien-Hung KUNG, Tsangyao CHANG
- 131-145 Export-Led
Growth: Evidence from Post-Communist Serbia
by Sasa OBRADOVIĆ, Nemanja LOJANICA
-
Analysis
and Surveys
- 146-165 The
Effects of Remittances on Inflation (CPI and WPI) and Exchange
Rate: A Case of Pakistan
by Saghir Pervaiz GHAURI, Rizwan Raheem AHMED, Jolita
VVEINHARDT, Dalia STREIMIKIENE, Khalid Sarwar QURESHI
- 166-179 Quality
Management of E-business: A Key Node Analysis of Ecological
Network in Digital Economy by Using Artificial Intelligence
by Da HUO, Yan CHEN, Ken HUNG, Rihui OUYANG, Baowen SUN,
Yinghui CAI .
- 180-195
Optimizing the Financial Structure of the State Treasury in
Romania
by Laurentiu Dumitru ANDREI, Petre BREZEANU
- 196-206
Reconsidering
“Circular Economy” in Terms of Irreversible Evolution of
Economic Activity and Interplay between Technosphere and
Biosphere
by Kozo MAYUMI, Mario GIAMPIETRO
2019 , Volume 22, Issue 1
- 5-18 Conditional Term Structure of Inflation Forecast Uncertainty: The Copula Approach
by Wojciech CHAREMZA, Carlos DÍAZ, Svetlana MAKAROVA
- 19-37 Nonlinear Modeling of Financial Stability Using Default Probabilities from the Capital Market
.
by Lucian Liviu ALBU, Radu LUPU, Adrian Cantemir CĂLIN, Iulia LUPU
- 38-56 Forecasting Remittances to Mexico with a Multi-State Markov-Switching Model Applied to the Trend with Controlled Smoothnes
by A. ISLAS, Víctor M. GUERRERO, Eliud SILVA
- 57-71 The Impact of Business Cycle on Pakistani Banks Capital Buffer and Portfolio Risk
by Samina RIAZ, Venus Khim-Sen LIEW, Rossazana Bt Ab RAHIM
- 72-87
Inflation Contagion Effects in the Baltic Countries: A Time-varying Coefficients VAR with Stochastic Volatility Analysis
by Bogdan DIMA, Ştefana Maria DIMA, Flavia BARNA
- 88-100 Correlations and Turbulence of the European Markets
by Laurentiu Dumitru ANDREI, Petre BREZEANU,
Sorin-Marius DINU, Tiberiu DIACONESCU, Constantin ANGHELACHE
- 101-113 Forecasting the Yield Curve with Dynamic Factors
by Erhard RESCHENHOFER, Thomas STARK
- 114-127 SMEs’ Access to Finance: An European Perspective
by Vasile DEDU, Dan Costin NIŢESCU, Ciprian Sebastian TURCAN
- 128-142 Analyzing
the Impacts of Unobserved National Characteristics on Economic
Performance of Information Technology based on a Partial Adjustment
Approach With Dynamic and Variable Speed of Adjustment
by Zhiguang ZHANG, Haiqing HU, Winston T. LIN
- 143-160
Explaining The EU Regional Economic Growth upon Regional- and Country- Level Achievements in Education
by Monica RĂILEANU, SZELES, Carmen ANTON, Mirela BABA, Steliana BUSUIOCEANU, Adriana LITRĂ, Titus SUCIU
2018 , Volume 21, Issue 4
- 5-20 A
New Version (2018) of the Romanian Macromodel - Aggregate
System
by Emilian DOBRESCU
- 21-40 The
Influence of International Capital Flow on the Effectiveness
of Chinese Monetary Policy.
by Zhaosu MENG Wei WEI Xiaotong LIU Kedong YIN
- 41-54 A
Reexamination of Friedman-Ball’s Hypothesis in Slovakia -
Evidence from Wavelet Analysis
by Ran TAO, Zheng-Zheng LI, Xiao-Lin LI, Chi-Wei SU
- 55-70 Measuring
the Macroeconomic Impacts of Fiscal Policy Shocks in the Saudi
Economy: A Markov Switching Approach
by Jamel JOUINI
- 71-84
Panel GARCH Model with Cross-Sectional Dependence between CEE
Emerging Markets in Trading Day Effects Analysis
by Josip ARNERIĆ, Blanka ŠKRABIĆ PERIĆ
- 85-100 External
Debt- Economic Growth Nexus in Selected CEE Countries
by Serhan ÇIFTÇIOĞLU, Amin SOKHANVAR
- 101-119 Testing
Twin Deficits Hypothesis for Eu-27 and Turkey: A Panel Granger
Causality Approach under Cross-sectional Dependence
by Mehmet BÖLÜKBAŞ, Mehmet Hanefi TOPAL, Hakan
HOTUNLUOĞLU
- 120-133 Estimating
the Price Impact of Market Orders on the Bucharest Stock
Exchange
by Mircea BAHNA, Cosmin-Octavian CEPOI, Bogdan Andrei
DUMITRESCU, Virgil DAMIAN
- 134-147 Anchoring
Effect on Macroeconomic Forecasts: A Heterogeneity Approach
by Tzu-Pu CHANG, Ray Yeutien CHOU
-
Analysis
and Surveys
- 148-160
Embeddedness in Cluster Knowledge Networks, the Moderating
Role of Network Competence. The Case Study of the Romanian
Wine Cluster of Muntenia-Oltenia
by Manuel EXPÓSITO-LANGA, José-Vicente TOMÁS-MIQUEL,
Gabriel BRĂTUCU, Oana
BĂRBULESCU
- 161-173 Efficiency
of Pension Systems in the EU Countries
by Mihai Daniel ROMAN, Georgiana Cristina TOMA (ROŞU),
Gabriela TUCHILUŞ
2018 , Volume 21, Issue 3
2018 , Volume 21, Issue 2
2018 , Volume 21, Issue 1
2017 , Volume 20, Issue 4
2017 , Volume 20, Issue 3
- 5-17
Are
Suicide Rate Fluctuations Transitory or Permanent? Panel KSS
Unit Root Test with a Fourier Function through the Sequential
Panel Selection Method
by Tsangyao
CHANG,Yifei CAI, Wen-Yi
CHEN
- 18-36 Measuring
Financial Cycle Length and Assessing Synchronization Using
Wavelets
by Moisă
ALTĂR, Matei KUBINSCHI, Dinu BARNEA
- 37-53 Volatility
Clustering, Leverage Effects and Risk-return Trade-off in the
Selected Stock Markets in the CEE Countries
by Krzysztof
DRACHAL
- 54-76 Improving
Phillips Curve’s Inflation Forecasts under Misspecification
by Mamdouh
Abdelmoula M. ABDELSALAM
- 77-87 Computation
of Operational Risk for Financial Institutions
by Ming-Tao
CHUNG, Ming-Hua HSIEH, Yan-Ping CHI
- 88-109 Intraday
Market Efficiency for a Typical Central and Eastern European
Stock Market: The Case of Romania
by Dan
Gabriel ANGHEL
- 110-129 Risk
Transmission and Contagion in the Equity Markets:
International Evidence from the Global Financial Crisis
by Hatice
Gaye GENCER, Mehmet Yasin HURATA
- 130-149 Are
South American Countries Really Converging?: The Influence of
the Region's Integration Projects
by Andrea
Bonilla BOLAÑOS
- 150-165 The
Impact of the Juncker Plan on Investors’ Beliefs
by Adrian
Cantemir CĂLIN, Oana Cristina POPOVICI, Gheorghe HURDUZEU
- 166-184 Decomposing
productivity changes - Romania's counties case
by Cristina
LINCARU, Speranta PIRCIOG
back to Top
2017 , Volume 20, Issue 2
back to Top
2017 , Volume 20, Issue 1
- 5-22 Measuring
the Green Efficiency of Ocean Economy in China: An Improved
Three-stage DEA Model
by Lili DING, Haihong ZHENG, Wanglin KANG
- 23-37 Fundamental
Indexation in European Emerging Markets
by Tomasz MIZIOLEK, Adam ZAREMBA
- 38-59 The
Relationship between Stock and Exchange Rates for BRICS
countries pre- and post-crisis: A mixed c-vine Copula Model
by Yingying HAN, Xiang ZHOU
- 60-74 Does
Economic Policies Uncertainty affect Economic Activity?
Evidences from the United States of America
by Bogdan DIMA, Marius Sorin DINCA, Stefan Maria DIMA,
Gheorgita DINCA
- 75-97 The
Effect of Trade on Agglomeration within Regions
by Grace Carolina GUEVARA-ROSERO
- 98-115 The
Future of Facilities Management in Lithuania
by Willem Karel M. BRAUERS, Edmundas Kazimieras
ZAVADSKAS, Natalija LEPKOVA
- 116-127 The
Tax Effects of Health Expenditures on Aging Economies:
Empirical Evidence on Selected OECD Countries
by Pelin Varol IYIDOGAN, Eda BALIKCIOGLU, H. Hakan
YILMAZ
- 128-149 Financial
Indicators as Predictors of Illiquidity
by Dejan JOVANOVIC, Mirjana TODOROVIC, Milka GRBIC
- 150-166 Micro
and Macroeconomic Determinants of Stock Prices: The Case of
Turkish Banking Sector
by Husam RJOUB, Irfan CIVCIR, Nil Gunsel RESATOGLU
-
Analysis
and Surveys
- 167-190 When
Policies Fuel Economic Cycles
by Daniel DAIANU
2016 , Volume 19, Issue 4
- 5-34 Controversies over the Size of the Public Budget
by Emilian DOBRESCU (Supplementary
Annex)
- 35-49 Spatial Patterns of Ocean Economic Efficiency and
their Influencing
by Xin ZHAO, Yong PENG, Yuemei XUE, Shun YUAN
- 50-64 Heterogeneous Market Hypothesis Evaluations Using Various Jump-Robust Realized Volatility
by Chin Wen CHEONG, Lee Min CHERNG, Grace Lee Ching YAP
- 65-78 Improving the Predictive Power of Spreads for Economic Activity: A
Wavelet Method
by Chang Min LEE, Hahn Shik LEE
- 79-94 Systemic Risk Impact on Economic Growth - The Case of the CEE
Countries
by Matei KUBINSCHI, Dinu BARNEA
- 95-114 Do Remittances Hurt Domestic Prices? New Evidence from Low, Lower-Middle and Middle-Income Groups
by Adnan KHURSHID, Yin KEDONG, Adrian Cantemir CALIN, Oana Cristina POPOVICI
- 115-134 On the Linkage between the International Crude Oil Price and Stock
Markets: Evidence from the Nordic and Other European Oil Importing and
Oil Exporting Countries
by Murad A. BEIN, Mehmet AGA
- 135-145 Do Multiple Housing Bubbles Exist in China? Further Evidence from
Generalized Sup ADF Tests
by Wen-Chi LIU (Supplementary
Annex)
- 146-169 The Impact of Momentum Factors on Multi Asset Portfolio
by Achim BACKHAUS, Aliya ZHAKANOVA (Supplementary
Annex)
- 170-183 The Impact of the US and Euro Area Financial Systemic Stress to the
Romanian Economy
by Corina SAMAN
back to Top
2016 , Volume 19, Issue 3
back to Top
2016 , Volume 19, Issue 2
- 5-12 Impact
Of FOMC Official Speeches on the Intraday Dynamics of CDS
Markets
by Lucian Liviu ALBU, Radu LUPU, Adrian Cantemir CALIN
- 13-26 A
Note on the Examination of the Fisher Hypothesis by Using
Panel Co-Integration Tests with Break
by Tolga OMAY, Mubariz HASANOV, Asli YUKSEL, Aydin YUKSEL
(Supplementary Annex: dataset)
- 27-42 Statistical
Assessment of the Value Relevance of Financial Information
Reported by Romanian Listed Companies
by Elisabeta JABA, Ioan-Bogdan ROBU, Costel ISTRATE,
Christiana Brigitte BALAN, Mihai ROMAN
- 43-65 Analyzing
the Regional Economic Convergence in Ecuador. Insights from
Parametric and Nonparametric Models
by Monica RAILEANU SZELES, Rodrigo Mendieta MUNOZ
- 66-85 Reserve
Requirement Policy, Bond Market, and Transmission Effect
by Li Ma, Tsangyao CHANG, Chien-Chiang LEE
- 86-101 Discretion
of Dynamic Position Adjustment in Hedging Strategy
by Hongfeng PENG, Xiaoyu TAN, Yi CHEN
- 102-113 Economic
Growth and Intangible Capitals: An International Panel Data
Model Applied in the 21st Century
by Víctor Raúl López RUIZ, José Luis Alfaro NAVARRO,
Domingo Nevado PENA (Supplementary Annex: dataset)
- 114-127 The
Relationship between Insurance Industry and Banking Sector in
China: Asymmetric Granger Causality Test
by Guochen PAN, Jingyan GUO, Qiaoling JING (Supplementary
Annex dataset)
- 128-151 Are
We Systematically Wrong when Estimating Potential Output and
the Natural Rate of Interest?
by Lucian CROITORU
- 152-168 Common
Stochastic Trends in European Mortality Levels: Testing and
Consequences for Modeling Longevity Risk in Insurance
by Dorina LAZAR, Anuta BUIGA, Adela DEACONU
back to Top
2016, Volume 19, Issue 1
- 5-13 Bring
Quantile Unit Root Test Back In Testing Hysteresis in
Unemployment for the United States
by Yushi JIANG, Tsangyao CHANG - 14-22 Interest
Rate Risk Analysis with Multifactor Model: The US Case
by Natalia CAMPOS, Francisco JARENO, Marta TOLENTINO - 23-38 Connectivity-based
Clustering of GDP Time Series
by Eugen SCARLAT - 39-53 The
Relationship between Bank Efficiency and Risk and
Productivity Patterns in the Romanian Banking System
by Mihai NIŢOI, Cristi SPULBĂR - 54-75 Performance
of VaR in Developed and CEE Countries during the Global
Financial Crisis
by Mirjana MILETIĆ, Sinisa MILETIĆ - 76-87 Equilibrium
Real Exchange Rate Assessment of the erbian Dinar: The MB
Approach
by Brankica PAZUN, Zlatko LANGOVIĆ, Ana LANGOVIC
MILIĆEVIĆ - 88-103 Has
the Long-Term Reversal Reversed? Evidence From Country
Equity Indices
by Adam ZAREMBA - 104-121 The
Contagion Effects on Real Economy: Emerging Markets during
the Recent Crises
by Hatice Gaye GENCER, Sercan DEMIRALAY - 122-137 Long-Memory
in Volatilities of CDS Spreads: Evidences from the Emerging
Markets
by Samet GUNAY, Yanlin SHI
- 138-152 Dependent
Business Climate. A Network-Based Analysis
by Elena Doina DASCĂLU, Nicu MARCU, Ştefan PETE,
Maria-Lenuţa ULICI, Vadim DUMITRAŞCU
back to Top
2015, Volume 18, Issue 4
- Editorial: In
Memoriam Cornelia Scutaru-Ungureanu
by Lucian-Liviu ALBU and Corina SAMAN
- 7-28
Comparative
Price Level (CPL) - A Representative Parameter of Economic
Convergence
by Emilian DOBRESCU
- 29-49 Sovereign
Financial Asset Market Linkages across Europe during the
Euro Zone Debt Crisis
by Moisă ALTĂR, Alexandru-Adrian CRAMER, Adam-Nelu
ALTĂR-SAMUEL
- 50-69 Do
Network Linkages Affect Financial Leverage? A Group
Governance Perspective
by Hsien-Chang KUO, Lie-Huey WANG
- 70 -89
Is Growth Rate Implicit in IPO Prices?
by Zachary MUHAMMAD, Alexander SMITH
- 90-109 Asymmetric
Interaction between Stock Price Index and Exchange Rates:
Empirical Evidence for Romania
by Corina SAMAN
- 110-133 Measuring
Unemployment Persistence by Age and Gender
by Amaia ALTUZARRA
- 134-153 European
Structural Funds and Labor Force Requirement in Romania
by Maurizio CIASCHINI, Andrea Karim EL MELIGI, Nicoleta Anca
MATEI, Rosita PRETAROLI, Claudio SOCCI
- 154-169 Estimating
a Hospital Production Function to Evaluate the Effect of
Nurse Staffing on Patient Mortality in Taiwan: The
Longitudinal Count Data Approach
by Yia-Wun LIANG, Wen-Yi CHEN, Yu-Hui LIN
-
Analysis and
Surveys
2015, Volume 18, Issue 3
2015, Volume 18, Issue 2
2015, Volume 18, Issue 1
- 5-21 Efficiency
In Cooperative Banks And Savings Banks : A Stochastic
Frontier Approach
by Cristi SPULBAR, Mihai NITOI, Lucian ANGHEL
- 22-46 Modeling
Portfolio Returns On Bucharest Stock Exchange Using The Fama-French
Multifactor Model
by Andrei ANGHEL, Dalina DUMITRESCU, Cristiana TUDOR
- 47-69 Empirical
Assessment Of Stabilization Effects Of Fiscal Policy In
Croatia
by Ana GRDOVIĆ GNIP
- 70-80 Has
Nonlinearity Resolved The A Nomaly Of Unit Root Behaviour In
Forward Discount ? New Empirical Evidence
by Aidil Rizal SHAHRIN
- 81-92 Testing
For Nonlinearity In Unemployment Rates Via Delay Vector
Variance
by Petre CARAIANI
- 93-106 Out-Of-Sample
Forecasting Performance Of A Robust Neural Exchange Rate
Model Of Ron/Usd
by Corina SAMAN
- 107-128 Analysis
Of Relative Return Behaviour Of Borsa Istanbul Reit And
Borsa Istanbul 100 Index
by Mine AKSOY, Veysel ULUSOY
- 129-142 Top
Management Team Heterogeneity, Diversification, And
Corporate Performance: A Panel Smooth Transition Regression
Model
by Weining LI, Sen ZHANG, Jing ZHANG
- 143-158 Forecasting
Prices Of Presale Houses: A Real Option Approach
by Ming-Cheng WU, I-Cheng LIN, Yi-Ting HUANG, Chang-Rong
-
Analysis and
Surveys
back to Top
2014, Volume 17, Issue 4
- 5-21 Attempting
to Quantify the Accuracy of Complex Macroeconomic Forecasts
by Emilian Dobrescu
- 22-48 Measuring
Systemic Risk using Contingent Claims Analysis (CCA)
by Moisa Altar, Adam-Nelu Altar-Samuel, Ioana Marcu
- 49-64 Simultaneity
of Tail Events for Dynamic Conditional Distributions of Stock
Market Index Returns
by Radu Lupu
- 65-75 Modeling
Stock Index Returns using Semi-Parametric Approach with
Multiplicative Adjustment
by Kaiping Wang
- 76-93 Industry
Competition, Agency Problem, and Firm Performance
by Sue-Fung Wang, Yow-Jen Jou, Ke-Chiun Chang, Kun-Wei
Wu
- 94-108 The
Multi-Criteria Nodal Analysis of the System of Companies
Resident in Romania
by Cezar Mereuta
- 109-127 Investigating
the Impact of Unemployment Rate on the Romanian Shadow
Economy. A Complex Approach Based on ARDL and SVAR Analysis
by Adriana Anamaria Davidescu (Alexandru)
- 128-139 An
Empirical Analysis of The Impact of RMB Exchange Rate's
Changes on Industrial Restructure
by Boya Wang, Siyue Liu
- 140-167 Institutional
Investor Sentiment and Market Returns: Evidence from the
Taiwan Futures Market
by Ralph Yang-Cheng Lu, Hsiu-Chuan Lee, Peter Chiu
-
Analysis and
Surveys
back to Top
2014, Volume 17, Issue 3
- 5-21 Will
there be Deflation and Current Account Surpluses?
by Lucian Croitoru
- 22-38 Does
Income Converge among EU Member Countries following the
Post-War Period? Evidence from the PANKPSS Test
by Burcu Ozcan
- 39-50 Estimating
the Impact of Quantitative Easing on Credit Risk through an
ARMA-GARCH Model
by Lucian Liviu Albu, Radu Lupu, Cantemir Adrian Calin,
Oana Cristina Popovici
- 51-71 The
Effects of Ownership Concentration and Origin on Listed Firms'
Value: Empirical Evidence from Romania
by Georgeta Vintila, Stefan Cristian Gherghina, Mihai
Nedelescu
- 72-87 Human
Development European City Index: Methodology And Results
by Victor Raul Lopez Ruiz, Domingo Nevado Pena, Jose
Luis Alfaro Navarro, Adriana Grigorescu
- 88-107 Increasing
Financial Audit Quality using a New Model to Estimate
Financial Performance
by Iulian Viorel Brasoveanu, Florin Dobre, Laura Brad
- 108-135 Nonlinearity,
Volatility and Fractional Integration in Daily Oil Prices:
Smooth Transition Autoregressive ST-FI(AP)GARCH Models
by Melike Bildirici, Ozgur Omer Ersin
- 136-159 Performance
Measurement In Public Spending: Evidence From A Non-Parametric
Approach
by Yi-Chung Hsu, Chien-Chiang Lee
- 160-178 An
Analysis of Non-Life Insurance Determinants for Selected
Countries in Central and South Eastern Europe: A
Co-Integration Approach
by Mihail Petkovski, Kjosevski Jordan
- 179-195 The
Performance of Predictions Based on the Dobrescu Macromodel
for the Romanian Economy
by Mihaela Simionescu (Bratu)
2014, Volume 17, Issue 2
- 5-24 A
Multidimensional Approach to the Inclusiveness of economic
Growth in the New Member States
by Raileanu Szeles, Monica
- 25-34 The
Impact of Globalization on Economic Growth
by Yung-Hsiang Ying, Koyin Chang, Chen-Hsun LEE
- 35-52 Influence
of the EU Accession Process and the Global Crisis on the CEE
Stock Markets: A Multivariate Correlation Analysis
by Anghelache, Gabriela Victoria, Kralik, Lorand Istvan,
Acatrinei, Marius, Pete, Stefan
- 53-70 An
Estimation of Sectoral Price Stickiness using Aggregate Data
by Cheng-qi Hou, Pin Wang
- 71-86 The
Impact of Monetaru Policy on the Romanian Economy
by Dedu, Vasile, Stoica, Tiberiu
- 87-99 Outward
Foreign Direct Iinvestments and Merchandise Exports: The
European OECD Countries
by Bojnec, Stefan, Ferto, Imre
- 100-114 Transnational
Clusters - Consequences of International Trade; Case Study of
the Adriatic-Danube Region
by Pauna, Carmen Beatrice, Chilian, Mihaela Nona,
Diaconescu, Tiberiu
- 115-129 A
Dynamic Weighted Distancedbased Fuzzy Time Series Neural
Network with Bootstrap Model for Option Price Forecasting
by Chih-Chung Yang, Yungho Leu, Chien-Pang Lee
- 130-140 Forecast
of Romanian Industry Employment using Simulation and Panel
Data Models
by Andreica, Madalina Ecaterina, Andreica, Marin
- 141-160 The
Twin Deficits in Selected Central and Eastern European
Economies: Bounds Testing Approach with Causality Analysis
by Tosun, M. Umur, Iyidogan, Pelin Varol, Telatar,
Erdinc
back to Top
2014, Volume 17, Issue 1
- 5-14 Lawrence
R. Klein and the Economic Forecasting - A Survey
by Hall, Stephen George, Roudoi, Andrei, Albu, Lucian
Liviu, Lupu, Radu, Calin, Adrian Cantemir
- 15-34 Modelling
the Confidence in Industry in Romania and other European
Member Countries Using the Ordered Logit Model
by Gagea, Mariana
- 35-52 Unemployment
Duration and Exit States of Disabled People in Romania
by Danacica, Daniela Emanuela, Cirnu, Doru
- 53-66 Unemployment,
Gender and Labor Force Participation in Spain: Future Trends
in Labor Market
by Congregado, Emilio, Carmona, Monica, Golpe, Antonio
A., Van Stel, Andre
- 67-85 What
Role for 'Learning'? A North-South Tale of Enrichment Effect
by Das, Gouranga G.
- 86-104 Testing
the Endogeneity of Trade and Financial Integration and
Sectoral Specialization in an Enlarged Euro Area
by Dinu, Marin, Marinas, Marius-Corneliu, Socol,
Cristian, Socol, Aura-Gabriela
- 105-122 The
Optimal Hedging Ratio for Non-Ferrous Metals
by Dinica, Mihai Cristian, Armeanu, Daniel
- 123-138 International
Equity Diversification Between the United States and Brics
Countries
by Zhong, Ming, Chang,Tsangyao, Tzeng, Han-Wen
- 139-159 Time-Varying
Behaviour of Sector Beta Risk - The Case of Poland
by Kurach, Radoslaw, Stelmach, Jerzy
- 160-176 Economic
Freedom, Inflation Rate and their Impact on Economic Growth: A
Panel Data Analysis
by Kilic, Cuneyt, Arica, Feyza
back to Top
2013, Volume 16, Issue 4
- 5-31 Updating
the Romanian Economic Macromodel
by Emilian Dobrescu
- 32-43 Rational
Bubbles Exist in the G-7 Stock Markets? Threshold
Cointegration Approach
by Li-Hung Wu
- 44-55 The
Relationship between Energy Consumption and Output: A
Frequency Domain Approach
by Wen-Chi Liu
- 56-66 Liquidity
Characteristics, Implicit Information of Asset Prices and
Monetary Policy in China
by Xiao Weiguo, Zhao Yang, Yuan Wei
- 67-81 History
of Credit Crisis as a Mirror: An International Perspective on
the Impact of the Sub-Prime Crisis on the Performance of
Investment and Commercial Banks
by Yang-Cheng Lu, Hao Fang, Shu-Lien Chang
- 82-93 Nonlinear
Behavior of the US Stock Price-Dividend: Evidence from
Threshold Unit Root Tests
by Shu-Ching Cheng, Tsung-Pao Wu
- 94-108 Factors
that Affect Credit Rating: An Application of Ordered Probit
Models
by Ken Hung, Hui Wen Cheng, Shih-shen Chen, Ying-Chen Huang
- 109-123 Capital
Constraints and the Credit Structure of Commercial Banks:
Evidence from China
by Junxun Dai
- 124-133 Macroeconomics
Framework Considered Risk Factors: Based on Default Distance
by Yonggang Ye, Jiaqi Yang, Lingfeng Song, Pei ZHang
- 134-147 A
Study of yhe Nonlinear Relationships among the U.S. and Asian
Stock Markets during Financial Crises
by Yu-Hau Hu, Shun-Jen Hsueh
- 148-160 Board
Ownership and Firm Value in Taiwan - A Panel Smooth Transition
Regression Model
by Feng-Li Lin
- 161-170 Corruption
and Income Inequality in Asian Countries: Bootstrap Panel
Granger Causality Test
by Chiung-Ju Huang
- 171-185 Military
Spending and Economic Growth Nexus in Sixteen Latin and South
American Countries: A Bootstrap Panel Causality Test
by Hsien-Hung Kung, Jennifer C. H. Min
- 186-204 The
Dollar Standard and Stability of China s Macroeconomy
by Guohua He, Xinxin Chang
- 205-217 Volatility
Spillovers between Equity and Bond Markets: Evidence from G7
and BRICS
by Jian Zhang, Dongxiang Zhang, Juan Wang, Yue Zhang
- 218-231 Cluster
Analysis of Market Potential in Emerging Markets: A Dynamic
Research based on Markov Chain
by Da Huo
- 232-245 Stock
Characteristics Herded By Foreign Investors With Higher
Abnormal Returns In The Taiwan Stock Market
by Hao Fang, Yang-Cheng Lu, Hwey-Yun Yau, Yen-Hsien Lee
back to Top
2013, Volume 16, Issue 3
- 5-25 What
Good is Higher Inflation? To Avoid or Escape the liquidity
Trap
by Lucian Croitoru
- 26-43 A
Bunch of Models, a Bunch of Nulls and Inference about
Predictive Ability
by Pablo Pincheira
- 44-58 The
Chinese News Sentiment around Earnings Announcements
by Yang-Cheng Lu, Yu-Chen Wei
- 59-89 Modelling
the Sectoral Structure of the Final Output
by Emilian Dobrescu,
- 90-103 Does
Housing Cost Affect Birth Rates in Taiwan? The ADL Test for
Threshold Co-integration
by Wen-Yi Chen
- 104-114 Does
Wealth or Credit Effect Exist in China?
by Chih-Wei SU, Hsu-Ling Chang, Chun Jiang
- 115-131 The
IPO Cycles in China's A-share IPO Market: Detection Based on a
Three Regimes Markov Switching Model
by Zhiqiang HU, Yizhu WANG
- 132-143 Inflation
Persistence in Nine Latin American Countries: Panel SURKSS
Test with a Fourier Function
by Yanli LI, Hongfeng PENG, Hongfeng Peng
- 144-163 Fractal
Analysis of the Gold Market in China
by Kedong YIN, Hengda Zhang, Wenbo Zhang, Qian Wei
- 164-181 The
Transmission Mechanism and Effectiveness of the Fed's
Operation Twist
by Li MA, Zhongyuan DUAN, Huadan Yu
- 182-198 Insurance
Activity and Economic Growth Nexus in 31 Regions of China:
Bootstrap Panel Causality Test
by Hongbing HU, Meng SU, Wenhua Lee
- 199-208 On
Tobin's Multiperiod Portfolio Theorem
by Heping XIONG, Jingming Zhou
back to Top
2013, Volume 16, Issue 2
- 7-17 Foreign
Trade and FDI as Main Factors of Growth in the EU
by Lucian-Liviu ALBU
- 18-51 Liquidity,
the October 2008 Speculative Attack and the Central Bank
Reputation
by Lucian CROITORU
- 52-69 Economic
Growth and Structural Changes in Regional Employment
by Dorin JULA, Nicolae-Marius JULA
- 70-86 Cost
Minimization Under Variable Input Prices: A Theoretical
Approach
by Adriana AGAPIE, Tony LIMA
- 87-100 The
Interaction of Structural Changes with Inflation in the
Presence of Symetric and Asymetric Economic Behaviours -
Evidence from a General Dynamic Intersectoral Model
by Andrei Silviu DOSPINESCU, Maria MITROFAN
- 101-114 A
View on the Risk-Neutral Density Forecasting of the DAX30
Returns
by Ioana Andreea DUCA, Gheorghe RUXANDA
- 115-128 Does
Venture Capital Spur Economic Growth? Evidence From Israel
by Biao ZHANG, Dongxiang ZHANG, Juan WANG, Xiashuai
HUANG
- 129-140 Discovering
the System Structure with Applications in Economic and Social
Sciences
by Stefan STEFANESCU
- 141-144 Multiple
Points Regression
by George Daniel MATEESCU
- 145-158 Dynamics
of Fixed Capital Productivity and the Macroeconomic
Equilibrium
by Florin Marius PAVELESCU
- 159-171 New
Keynesian Phillips Curve for Romania
by Corina SAMAN, Bianca PAUNA
Analysis and
Surveys
- 172-192 Financialisation:
Structure, Extent, Consequences
by Aurel IANCU
- 193-210 The
Eurozone: An Inconvenient Truth
by Lucian CROITORU
- 211-222 The
Input-Output Modeling Approach to the National Economy
by Viorel GAFTEA
- 123-239 The
Mechanisms of Arrears in Romania
by Elena PELINESCU
2013, Volume 16, Issue 1
- 5-23 The
Monetary Causes of Inflation in Romania
by Cristian Paun, Vladimir Topan
- 24-38 The
Interchange Fees - A Comparison between Optimal Private and
Social Levels
by Ionut Mihai Dragoi
- 39-61 Foreign
Direct Investment based on Country Risk and other Macroconomic
Factors. Econometric Models for Romanian Economy
by Gheorghe Savoiu,Vasile Dinu, Suzana
Ciuca
- 62-81 Financial
Stability and Monetary Policy: A Reduced-Form Model for the
EURO Area
by Claudiu Tiberiu Albulescu
- 82-97 A
Hybrid Business Failure Prediction Model Using Locally Linear
Embedding And Support Vector Machines
by Fengyi Lin, Ching Chiang Yeh, Meng Yuan Lee
- 98-118 How
Core Inflation Reacts to the Second Round Effects
by Simion Mija, Dorin Slobozian, Radu Cuhal, Alexandru
Stratan
- 119-135 Using
a Macroeconomic Model to Check Forecast Consistency
by Cristian Nicolae Stanica
- 136-148 A
DCC-GARCH Model To Estimate the Risk to the Capital Market in
Romania
by Marius Acatrinei, Adrian Gorun, Nicu Marcu
- 149-163 Education
in Romania - How much is it Worth?
by Irina Ion Zgreaban
back to Top
2012, Volume 15, Issue 4
- 5-16 The
Convergence Process in the EU Estimated by Gini Coefficients
- by Lucian Liviu Albu
- 17-35 Reconsideration
of Dimensions and Curve Fitting Practice in View of
Georgescu-Roegen's Epistemology in Economics
- by Kozo Mayumi, Mario Giampietro and Jesus Ramos-Martin
- 36-55 FDI,
Productivity and Wages. New Evidence from a Romanian Matched
Sample
- by Cristina Jude
- 56-67 Revisiting
Mean Reversion in the Stock Prices of Nine Transition
Countries: Threshold Unit Root Test
- by Guochen Pan, Seng-Sung Chen and Tsangyao Chang
- 68-82 Governance
and Contractual Structure in the Vegetable Supply Chain in
Romania
- by Cornelia Alboiu
- 83-103 Price
Volatility Forecast for Agricultural Commodity Futures:
The Role of High Frequency Data
- by Wen Huang, Zhuo Huang, Marius Matei and Tianyi Wang
- 104-116 An
Analytic Derivation of the Efficient Market Portfolio
- by Zion Guo and Hsin-Yi Huang
- 117-128 Oscillatory
Dynamics of Industrial Production
- by Ionut Purica
- 129-146 Foreign
Direct Investments in Romania. A Structural and Dynamic View
- by Dalina Maria Andrei
- 147-162Can
VAR Be Predictive for Regulation? Evidence from the Futures
Industry in Taiwan
- by Matthew C. Chang and Jui-Cheng Hung
- 163-180 The
Interdependence of the Stock Markets of Slovenia, The Czech
Republic and Hungary with Some Developed European Stock
Markets - The Effects of Joining the European Union and the
Global Financial Crisis
- by Silvio Dajcman and Mejra Festic
2012, Volume 15, Issue 3
- 5-21 Transmission
Mechanism of Monetary Policy in Romania. Insights into the
Economic Crisis
by Pelinescu, Elena
- 22-43 Evaluating
Individual and Mean Non-Replicable Forecasts
by Chang, Chia Lin & Franses, Philip Hans &
Mcaleer, Michael
- 44-57 Enhancing
the Efficiency of the Benchmarking Learning Map Model: The
Integrated Fra Perspective
by Lin, Wen Cheng & Yahalom, Shmuel
- 58-68 Mean
Reversion of Real Interest Rates in G-20: Panel Kss Test by
Spsm with a Fourier Function
by Chang, Chih Kai
- 69-79 Testing
For Nonlinearity In G7 Macroeconomic Time Series
by Yavuz, Nilgun Cil & Yilanci, Veli
- 80-96 What
is Romania’s Wealth? The Foundation of a National Wealth
Evaluation Econometric Model
by Zaman, Gheorghe & Dumitrascu, Roxana Arabela
& Dumitrascu, Vadim
- 97-120 Revisiting
the Relationship between Electricity Consumption, Capital and
Economic Growth: Cointegration and Causality Analysis in
Romania
by Shahbaz, Muhammad & Mutascu, Mihai & Tiwari,
Aviral Kumar
- 121-141 Determinants
of the Dinar-Euro Nominal Exchange Rate
by Nedeljković, Milan & Urosević, Branko
- 142-151 Is
the Romanian Business Cycle Characterized by Chaos?
by Caraiani, Petre
- 152-170 Fiscal
Theory of Price Level: A Panel Data Analysis for selected
Saarc Countries
by Nawaz, Muhammad & Iqbal, Muhammad Mazhar &
Ali, Amanat & Zaman, Khalid
2012, Volume 15, Issue 2
- 5-23 Clusterization,
Persistence, Dependency and Volatility of Business Cycles in
an Enlarged Euro Area
by Dinu. Marin & Marinas, Marius Corneliu & Socol
Cristian & Socol, Aura Gabriela
- 24-37 Transitional
Behavior of Government Debt Ratio on Growth: The Case of OECD
Countries
by Chang, Tsangyao & Chang, Gengnan
- 38-51 Sudden
Changes In Volatility In Central And Eastern Europe Foreign
Exchange Markets
by Todea, Alexandru & Platon, Diana
- 52-67 Foreign
Direct Investment, Export and Economic Growth: Empirical
Evidence from New EU Countries
by Acaravci, Ali & Ozturk, Ilhan
- 68-84 The
Macromodel of the Moldovan Economy Medium-Term Forecast for
Moldova
by Stratan, Alexandru & Chistruga, Marcel
- 85-102 Foreign
Direct Investments, Technology Transfer and Economic Growth. A
Panel Approach
by Hudea Caraman, Oana Simona & Stancu, Stelian
- 103-126 Copulas
having Zero-Isoline and Economic Applications
by Ciuiu, Daniel
- 127-142 Volatility
Forecasting with Asymmetric Normal Mixture Garch Model:
Evidence from South Africa
by Cifter, Atilla
-
Analysis and
Surveys
back to Top
2012, Volume 15, Issue 1
- 5-19 The
Renewable Energy Development: A Nonparametric Efficiency
Analysis
by Aldea, Anamaria & Ciobanu, Anamaria & Stancu,
Ion
- 20-40 The
Roots of the Banking Crisis in the New EU Member States: A
Panel Regression Approach
by Festic, Mejra & Kavk;er, Alenka
- 41-61 On
Solving Some Types of Multiple Attribute Decision-Making
Problems
by Vaduva, Ion
- 62-73 Price
Indicators as a Measure of Credit Market Integration in the
Visegrad Countries
by Vodova, Pavla
- 74-94 The
Demand for Money in China: A Reassessment Using the Bounds
Testing Approach
by Lee, Chien Chiang & Chang, Chun Ping
- 95-115 Perspectives
on risk measurement: a critical assessment of PC-GARCH against
the main volatility forecasting models
by Matei, Marius
- 116-127 116-127 Control
and Crisis in a City Seen as a Reactor of Economic
Transactions
by Purica, Ionut
- 128-143 Local
Environment Analysis and Rules Inferring Procedure in an
Agent-Based Model – Applications in Economics
by Dospinescu, Andrei Silviu
-
Analysis and
Surveys
- 144-155 The
Contribution of Econometrics to the Management of the
Eterprise
by Bourbonnais, Regis & Maftei, Mara Magda
- 156-186 Tax
Policy under the Curse of Low Revenues: The Case of Romania
(Part I)
by Daianu, Daniel & Kallai, Ella & Lungu,
Laurian
- 187-204 Evolution
of Regional and Sub-Regional Disparities in Romania - A
Sectoral Shift-Share Analysis
by Chilian, Mihaela Nona
back to Top
2011, Volume 14, Issue 4
- 5-14 Hysteresis
in Unemployment for G-7 Countries: Threshold Unit Root Test
by Chang, Tsangyao & Lee, Chia-Hao
- 15-29 Debt
Ceiling and External Debt Sustainability in Romania: A
Quantile Autoregression Model
by Boengiu, Tudor & Morar Triandafil, Cristina &
Morar Triandafil, Adrian
- 30-46 Comparing
Monetary Policy Rules in the Romanian Economy: A New Keynesian
Approach
by Caraiani, Petre
- 47-67 How
Good are the Growth and Inflation Forecasts for Slovenia?
by Jagric, Timotej & Beko, Jani
- 68-78 Discriminant
Analysis of the Abilities of Public Marketing Specialists
by Grigorescu, Adriana & Bob, Constantin
- 79-89 Financial
Market Risk and Gold Investment in an Emerging Market: The
Case of Malaysia
by Mansor, Ibrahim
- 90-105 Modeling
Government Policies used for Sustaining Economic Growth in
Romania
by Stanica, Cristian Nicolae
- 106-128 Estimating
the Impact of Central Bank Independence upon Macroeconomic
Performance using a Panel Data Model
by Dumiter, Florin Cornel
- 129-140 Scenarios
of the Romanian GDP Evolution With Neural Models
by Saman, Corina
- 141-162 Possible
Evolutions of Investment Rate - Error Correction Models
Scenarios
by Scutaru, Cornelia
-
Analysis and
Surveys
- 163-177 A
Model for Measuring the National Global Performance and
Analyzing its Determinants - The Case of Romania
by Herciu, Mihaela & Ogrean, Claudia
- 178-196 Patrimonial
Pattern of Rural Development. Case Study: The Rural
Communities from Tara Hateg Retezat Area
by Florian, Violeta
-
Forecasts
- 197-199 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast Preliminate for 2011, November
Estimates by Macromodel of the Romanian Market
Economy Group (Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu
Albu, Bianca Pauna, Corina Saman)
2011, Volume 14, Issue 3
back to Top
2011, Volume 14, Issue 2
2011, Volume 14, Issue 1
- 5-19 Similarity of
Supply and Demand Shocks between the New Member States and the
Euro Zone. The case of Romania
by Dumitru, Ionut & Dumitru, Ionela
- 20-40 Exploring the
Economic Convergence in the EU's New Member States by Using
Non-parametric Models
by Raileanu Szeles, Monica
- 41-53 A Non-linear
Model of Causality between the Stock and Real Estate Markets
of European Countries
by Su, Chi Wei & Chang, Hsu Ling & Zhu, Meng
Nan
- 54-71 Financial
Information Fraud Risk Warning for Manufacturing Industry -
Using Logistic Regression and Neural Network
by Shih, Kuang Hsun & Cheng, Ching Chan & Wang,
Yi Hsien
- 72-87 Analyzing the
Dynamics of Relative Prices on a Market with Speculative and
Non-Speculative Agents Based on the Evolutionary Model
by Dospinescu, Andrei Silviu
- 88-105 The
Introduction of the Common Currency in Slovenia
by Festic, Mejra & Krizanic, France
- 106-124 An Evaluation
of Asymmetric and Symmetric effects of Oil Exports Shocks on
Nontradable Sector of Iranian Economy
by Shirinbakhsh, Shamsollah & Moghaddas Bayat,
Maryam
- 125-142 An
Application of Economic Capacity Utilization to the
Measurement of Total Factor Productivity Growth: Empirical
Evidence from Indian Fertilizer Industry
by Sarbapriya, Ray & Mihir, Kumar Pal
- 143-158 Why Do Not
They Move from Rural to Urban Areas? Inter-regional Migration
in Romania
by Silaghi, Monica Ioana & Ghatak, Subrata
- 159-174 General
Equilibrium Dynamic Models and the Doha Round Impact on
Underdeveloped Economies
by Bostan, Ionel & Grosu, Veronica
-
Analysis and
Surveys
- 175-192 Technical
Analysis and Stochastic Properties of Exchange Rate Movements:
Empirical Evidence from the Romanian Currency Market
by Todea, Alexandru & Zoicas Ienciu, Adrian
- 193-211 Analysis of
the Procedure for Balancing the Local Budgets in Romania
by Bunescu, Liliana & Cristescu, Marian
- 212-229 The Drivers
of the CEE Exchange Rate Volatility - Empirical Perspective in
the Context of the Recent Financial Crisis
by Morar Triandafil, Cristina & Brezeanu, Petre
& Huidumac, Catalin & Morar Triandafil, Adrian
- 230-256 Models of
Financial System Fragility
by Iancu, Aurel
- 257-276 Approaching
Economic Issues through Epidemiology - An Introduction to
Business Epidemiology
by Bolos, Bradut & Bacarea, Vladimir &
Marusteri, Marius
-
Forecasts
- 277-281 The "Dobrescu
Macromodel" of the Romanian Market Economy - 2005 Version
- Yearly Forecast - Spring Forecast 2011, March estimate
by Macromodel of the Romanian Market Economy Group (Cornelia
Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca Pauna,
Corina Saman)
back to Top
2010, Volume 13, Supplement
- 7-18 Examples
of New Macroeconomic Modelling and Simulation Techniques: How
They Could Improve Decisions and Public Perception
by Albu, Lucian Liviu & Gorun, Adrian
- 17-32 The
Analysis of Local Budgets and Their Importance in the Fight
against the Economic Crisis Effects
by Pelinescu, Elena & Anton, Lucian Vasile &
Ionescu, Raluca & Tasca, Radu
- 33-42 Assessment
of Economic Growth of the Republic of Moldova in the Context
of Global Economic Crisis
by Stratan, Alexandru
- 43-58 Public
& Business Management Confluences - Success Factors
by Grigorescu, Adriana & Bob, Constantin
- 59-73 European
Performances regarding Flexicurity in the New Member States
and Their Regions
by Chilian, Mihaela Nona & Albu, Lucian Liviu &
Iordan, Marioara
- 74-81 Nonlinear
Considerations on Economic Systems’ Behaviour
by Purica, Ionut
- 82-99 Migration
in the Context of Current Economic and Financial Crisis
- Comparative Analysis
by Balan, Mariana & Uzlau, Carmen
- 100-119 Strategic
Development Prospects for the Labor Market in Romania, as
Introduced by the Europe 2020 Strategy
by Ciuca, Vasilica & Lincaru, Cristina
- 120-142 Prospects
for the Evolution of the Economic Sectors' Behavior
by Scutaru, Cornelia & Fomin, Petre & Stanica,
Cristian
2010, Volume 13, Issue 4
- 7-15 An Estimated
Small Open Economy New-Keynesian Model of the Australian
Economy
by Heidari, Hassan
- 16-31 Business Cycle
Correlation of the New Meber States with Eurozone - The Case
of Romania
by Dumitru, Ionut & Dumitru, Ionela
- 32-43 Regional
Distribution of Inflationary Pressures in Romania
by Ailenei, Dorel & Cristescu, Amalia
- 44-53 The Balassa-Samuelson
Effect in Romania
by Dedu, Vasile & Dumitrescu, Bogdan Andrei
- 54-75 A Comparative
Analysis of the Efficiency of Romanian Banks
by Andries, Alin Marius & Cocris, Vasile
- 76-87 Forecasting
Romanian GDP Using a BVAR Model
by Caraiani, Petre
- 88-101 Trade and
Growth in the Pacific Islands - Empirical Evidence from the
Bounds Test to Level Relationships and Granger Causality Tests
by Katircioglu, Salih & Eminer, Fehiman &
Aga, mehmet & Ozyigit, Ahmet
- 102-124 New Findings
on Actual and Potential Trade between Romania and the Russian
Federation: A Gravity Approach
by Dascalescu, Virgil & Nicolae, Elena & Ion,
Irina
-
Analysis and
Surveys
- 125-131 The Validity
of Purchasing Power Parity Hypothesis in Middle East and
Northern Africa Countries
by Kalyoncu, Hüseyin & Kula, Ferit & Aslan,
Alper
- 132-147 Efficiency,
Effectiveness and Performance of the Public Sector
by Mihaiu, Diana Marieta & Opreana, Alin &
Cristescu, Marian Pompiliu
- 148-167 The Impact
of Defense Expenditure on Economic Growth
by Obreja Brasoveanu, Laura
- 169-183 Causality
Relationship between Real GDP and Electricity Consumption in
Romania (2001-2010)
by Kayhan, Selim & Adiguzel, Uğur & Bayat,
Tayfur & Lebe, Fuat
- 184-207 Discretionary
Policy versus Non-Discretionary Policy in the Economic
Adjustment Process
by Dinga, Emil & Ionescu, Cornel & Padurean,
Elena
-
Forecasts
- 208-212 The "Dobrescu
Macromodel" of the Romanian Market Economy - 2005 Version
- Yearly Forecast - Preliminate for 2010, November estimate
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
back to Top
2010, Volume 13, Issue 3
- 5-25 Estimating
Potential Gdp For The Romanian Economy. An Eclectic Approach
by Altar, Moisa & Necula, Ciprian & Bobeica,
Gabriel
- 26-52 Exchange Rate
Pass-Through into Romanian Price Indices. A VAR Approach
by Cozmanca, Bogdan-Octavian & Manea,
Florentina
- 53-73 A Comment on
“A Review of Student Test Properties in Condition of Multifactorial
Linear Regression”
by Eisenstat, Eric
- 74-92 Asymmetric
Conditional Volatility Models: Empirical Estimation and
Comparison of Forecasting Accuracy
by Miron, Dumitru & Tudor, Cristiana
- 93-106 Modeling the
Dependency Structure of Stock Index Returns Using a Copula
Function Approach
by Necula, Ciprian
- 107-114 Responses of
Real Output in Serbia to the Financial and Global Economic
Conditions
by Hsing, Yu & Hsieh, Wen-jen
- 115-123 Why
Fuel Poverty?
by Bhattarai, Keshab
- 124-140 Metropolitan
Maquiladora Econometric Forecast Accuracy
by Thomas M. Fullerton, Jr. & George Novela
- 141-157 Political
Risk for Foreign Firms in Russia
by Liuhto, Kari
- 158-172 Framing
Influence on Fairness Perceptions of Differential Prices
by Catoiu, Iacob & Vranceanu, Diana Maria
& Tatu, Cristian
- 173-186 Commonalities
and Disparities among the EU Candidate Countries
by Ivan Ungureanu, Clementina & Ersoz, Filiz
-
Forecasts
- 187-190 The "Dobrescu
Macromodel" of the Romanian Market Economy - 2005 Version
- Yearly Forecast - Autumn Forecast for 2010
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
2010, Volume 13, Issue 2
- 7-28 Macromodel
Simulations for the Romanian Economy
by Dobrescu, Emilian
- 29-45
Technical
Change as Exogenous or Endogenous Factor in the Production
Function Models. Empirical Evidence from Romania
by Zaman, Gheorghe& Goschin, Zizi
- 46-56
Estimating
Hidden Economy and Hidden Migration: The Case of Romania
by Albu, Lucian Liviu & Iorgulescu, Raluca &
Stanica, Cristian
- 57-78 A Test of the
Balassa-Samuelson Effect Applied to Chinese Regional
Data
by Guo, Qian & Hall, Stephen G.
- 79-99 Estimating The
Cyclically Adjusted Budget Balance For The Romanian Economy. A
Robust Approach
by Altar, Moisa & Necula, Ciprian & Bobeica,
Gabriel
- 100-118 Exchange
Market Pressure and De FactoThe Evolution of Demographic
Phenomena in Terms of Globalization and Environmental Changes
by Balan, Mariana
- 119-139 Exchange
Market Pressure and De Facto Exchange Rate Regime in the
Euro-Candidates
by Stavarek, Daniel
- 140-154 Structural
Breaks, Electricity Consumption and Economic Growth: Evidence
from Turkey
by Acaravici, Ali
- 155-164 Macroeconomic
Uncertainty and Investment - Empirical Analysis for
Romania
by Saman, Corina
- 165-175 Asymmetric
Adjustment in the Lending-Deposit Rate Spread: Evidence from
Eastern European Countries
by Su, Chi Wei & Chang, Hsu Ling
- 176-187 Using the
Leontief Matrix to Estimate the Impact of Investments upon the
Global Output
by Dobrescu, Emilian & Gaftea, Viorel & Scutaru,
Cornelia
- 188-212
Estimating
Coal Price Dynamics with the Principal Components Method
by Festic, Mejra & Repina, Sebastijan & Volcjak,
Robert
- 213-222
Repetitive
Stochastic Guesstimation for Estimating Parameters in a
GARCH(1,1) Model
by Agapie, Adriana & Bratianu,
Constantin
- 223-230 On the
Implementation and Use of a Genetic Algorithm with Genetic
Acquisitions
by Mateescu, George Daniel
- 231-244 Informational
Criteria for the Homoscedasticity of Errors
by Ciuiu, Daniel
- 245-264 An Analysis
Model for the Disturbances Generated by Collinearity in the
Context of the OLS Method
by Pavelescu, Florin Marius
-
Analysis and
Surveys
- 265-279 Trends of
the Contagion Risk in Sovereign Spreads for Emerging European
Countries
by Dedu, Vasile & Mihai, Irina & Neagu,
Florian
- 280-294 A
Comparative Study of Some Features of Higher Education in
Romania, Bulgaria and Hungary
by Andrei, Tudorel & Lefter, Viorel & Oancea,
Bogdan & Stancu, Stelian
- 295-307 Predicting
Discontinuity in the Decision to Allocate Funds to Credit
Memes with a Fokker-Planck Equation Based Model
by Purica, Ionut
- 308-319 Measuring
Core Inflation in Romania Using the Dobrescu Method - A
Comparative Approach
by Dospinescu, Andrei Silviu
-
Forecasts
- 320-324 The "Dobrescu
Macromodel" of the Romanian Market Economy - 2005 Version
- Yearly Forecast - Summer Forecast for 2010
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
back to Top
2010, Volume 13, Issue 1
- 5-20 Financial
Distress and Banks' Communication Policy in Crisis Times
by Besancenot, Damien & Vrânceanu, Radu
- 21-44
Asymmetries
in the Exchange Rate Pass-Through into Romanian Price
Indices
by Cozmânca, Bogdan Octavian & Manea, Florentina
- 45-58
FDI and
Economic Growth. Evidence from Simultaneous Equation Models
by Ruxanda, Gheorghe & Muraru, Andreea
- 59-69 Forecasting
Based on Open VAR Model
by Pecican, Eugen St.
- 70-80 Prediction
Based on Time Series. Applications in Quality Control
by Isaic Maniu, Alexandru, Voda, Viorel Gh.
- 81-98 Forecasting the
Romanian Financial System Stability Using a Stochastic
Simulation Model
by Albulescu, Claudiu Tiberiu
- 99-106 Is There a
Long-run Relationship between Taxation and Growth: The Case of
Turkey
by Katircioglu, Salih Turan
- 107-117 On
Generalized Pareto Distributions
by Mierlus Mazilu, I.
- 118-129 Demand for
Money in Kazakhstan: 2000-2007
by Yilmaz, Mesut & Oskenbayev, Yessengali &
Kanat, Abdulla
- 130-136 Modeling
Business Cycles in the Romanian Economy Using the Markov
Switching Approach
by Caraiani, Petre
- 137-150
Strategic and
General Equilibrium Models in Poverty Measurement Studies
by Bhattarai, Keshab
- 151-164
On the
Use of Some Optimal Strategies of Fiscal Administration during
Economic Crisis
by Brojba, Laura Cornelia & Dumitru, Corina
Graziella & Belciug, Adrian Vintilescu
-
Analysis and
Surveys
- 165-181
Compositional
Analysis of Foreign Currency Reserves in the 1999-2007 Period.
The Euro vs. the Dollar as Leading Reserve Currency
by Aristovnik, Aleksander &
Čeč, Tanja
- 182-197 Econometric
Analysis of Efficiency in the Indian Manufacturing Sector
by Dimitriu, Maria Caracota & Savu, Blessy
Mathew
- 198-214
Planning
Optimal from the Firm Value Creation Perspective. Levels of
Operating Cash Investments
by Michalski, Grzegorz
-
Forecasts
- 215-217 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast - Spring Forecast 2010
by Macromodel of the Romanian Market
Economy Group (Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu
Albu, Bianca Pauna, Corina Saman)
back to Top
2009, Volume 12, Issue 4
- 5-18 Regression-based
Forecast Combination Methods
by Wei, Xiaoqiao
- 19-41
The
Impact of the Flat Tax Reform on Inequality - the case of
Romania
by Voinea, Liviu & Mihaescu, Flaviu
- 41-65
Assessing
Volatility Forecasting Models: Why GARCH Models Take the Lead
by Matei, Marius
- 66-81 A
Duration-Dependent Regime Switching Model for an Open Emerging
Economy
by Ozun, Alper & Turk, Mehmet
- 82-100 Some
Composite ExponentialPareto Models for Actuarial Prediction
by Teodorescu, Sandra & Vernic, Raluca
- 101-118 Growth
of Public Expenditures in Turkey during the 1950-2004 Period:
An Econometric Analysis
by Yay, Turan & Tastan, Huseyin
- 119-131 Numerical
and Monte Carlo Methods to make Normal Residues in Regression
by Ciuiu, Daniel
- 132-152 Economic
Activity and Natural Gas as a Potential Destabilizer of the
Slovenian Economy
by Festic, Mejra & Repina, Sebastijan
- 153-169 The
Impact of Foreign Direct Investment on the Economic Growth and
Countries' Export Potential
by Pelinescu, Elena & Radulescu, Magdalena
- 170-179 Using
the Multivariate Data Analysis Techniques on the Insurance
Market
by Dedu, Vasile & Armeanu, Daniel & Enciu,
Adrian
-
Analysis and
Surveys
- 180-194
Labor
Reallocation in Transitional Economies - Twenty Years Later
by Pauna, Catalin
- 195-212
Modelling
the Financial Performance of the Building Sector Enterprises -
The case of ROMANIA
by Barbuta Misu, Nicoleta
- 213-223 A
Neural Network Model for Time-Series Forecasting
by Morariu, Nicolae & Iancu, Eugenia & Vlad,
Sorin
-
Forecasts
- 224-226 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast - Preliminate for 2009
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
back to Top
2009, Volume 11, Issue 3
- 5-21 Global
Simulation of Quality and Security of Human Life
by Zgurovski, M.
- 22-33 Prediction
of a Small Area Mean for an Infinite Population when the
Variance Components Are Random
by Stefan, Marius
- 34-46 The
Relation between Predictability and Complexity: Domestic and
Public Consumption in the Romanian Economy
by Scutaru, Cornelia & Saman, Corina & Stanica,
Cristian
- 47-55 Differential
Elasticity of Substitution in the Indian Industries
by Upender, M. & Sujan, M.
- 56-74 Financial
Development and Economic Growth - A Comparative Analysis
by Yay, Gülsün & Oktayer, Asuman
- 75-84 Forecasting
the Romanian GDP in the Long Run Using a Monetary DSGE
by Caraiani, Petre
- 85-99 Testing
the Behavior of Romanian Households
by Pauna, Bianca
- 100-109 A
Neuro-Classification Model for Socio-Technical Systems
by Nastac, Iulian & Bacivarov, Angelica & Costea,
Adrian
- 110-128 Happy
e-Inclusion? The Case of Romania
by Turlea, Geomina & Ciupagea, Constantin
- 129-137 Productivity
and the Regional Employment in Services. Econometric
Estimations for Romania
by Jula, Dorin & Jula, Nicoleta
-
Analysis and
Surveys
- 138-152 Indexes
of Regional Economic Growth in Post-Accession Romania
by Miron, Dumitru & Dima, Alina Mihaela & Vasilache,
Simona
- 153-166 External
Competitiveness of the Romanian Regions and Counties
by Ckilian, Nona Mihaela
- 167-183 Migration,
Restrictions and the Impact on Labour Market
by Nae, Tatiana Roxana
- 184-197 Measuring
the Intangible Content of Goods Traded on International
Markets. An Exercise on "Made in Italy" versus
"Made in China" case
by Di Tommaso, Marco R. & Dragomirescu, Horatiu
-
Forecasts
- 198-201 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast - Autumn Forecast 2009
by Macromodel of the Romanian Market Economy Group (Cornelia
Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca Pauna,
Corina Saman)
back to Top
2009, Volume 10, Supplement
2009, Volume 10, Issue 2
- 5-22 Nonlinear
Inflationary Persistence and Growth: Theory and Empirical
Comparative Analysis
by Charemza, Wojciech & Makarova, Svetlana
- 23-41 An
Assessment of the Current Account Sustainability in Romania -
An Inter-temporal Perspective
by Dumitru, Ionut & Dumitru, Ionela
- 42-51 Patterns
of Foreign Direct Investment in the New EU Countries
by Sova, Robert & Albu, Lucian Liviu & Stanciu,
Ion & Sova, Anamaria
- 52-63 About
a Nonlinear Two-Parameter Prediction Model Used for
Investigating the Distribution of CO2 Emission in Europe
by Stefanescu, Stefan
- 64-80 Are
Capital Markets Integrated? A Test of Information Transmission
within the European Union
by Horobet, Alexandra & Lupu, Radu
- 81-104 Cox
Regression Models for Unemployment Duration in Romania,
Austria, Slovenia, Croatia, and Macedonia
by Kavkler, Alenka & Danacica, Daniela-Emanuela
& Babucea, Ana Gabriela & Bicanic, Ivo & Bohm,
Bernhard & Tevdovski, Dragan & Tosevska, Katerina
& Borsic, Darja
- 105-117 Exports-Economic
Growth Causality: Evidence from CEE Countries
by Pop Silaghi, Monica Ioana
- 118-131 Modeling
Heavy-Tailed Stock Index Returns Using the Generalized
Hyperbolic Distribution
by Necula, Ciprian
- 132-146 Price
Ratios and the Cross-section of Common Stock Returns on
Bucharest Stock Exchange: Empirical Evidence
by Tudor, Cristiana
- 147-160 The
Development of the Romanian Capital Market: Evidences on
Information Efficiency
by Dragota, Victor & Stoian, Andreea & Pele,
Daniel Traian & Mitrica, Eugen & Bensafta, Malik
-
Analysis and
Surveys
- 161-183 The
Romanian Flexicurity - A Response to the European Labour
Market Needs
by Ciuca, Vasilica & Pasnicu, Daniela & Son,
Liana & Sipos, Ciprian & Iordan, Marioara
- 184-199 Global
Sourcing of Services: How Well Are the New EU Member States
Coping with the Challenges? (Part II)
by Ghibutiu, Agnes & Poladian, Simona
-
Forecasts
- 200-203 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast Summer Forecast 2009
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
back to Top
2009, Volume 10, Issue 1
- 5-15 Regional
Economic Voting In Romania
by Jula, Dorin & Jula, Nicolae Marius
- 16-35 Romania
In A Post-Credit Crunch World? A Cautionary Tale From
Australia And America
by Carmen COSTEA & Steve KEEN
- 36-47 Second
Order Dynamics Of Economic Cycles
by Purica, Ionut & Caraiani, Petre
- 48-62 Empirical
Study On The Performances Of Black-Scholes Model For
Evaluating European Options
by Vasile, Emilia & Armeanu, Dan
- 63-75 A
Review Of Student Test Properties In Condition Of
Multifactorial Linear Regression
by Pavelescu, Florin Marius
- 76-93 Income
Taxation Regulation And Companies' Behaviour: Is The Romanian
Companies' Dividend Policy Influenced By The Changes In Income
Taxation?
by Dragota, Mihaela & Dragota, Victor & Tatu,
Lucian & Tatu, Delia
-
Analysis and
Surveys
- 94-114 Analysing
The Degree Of Specialization In Romania'S Services Trade
by Grigorovici, Corina
- 115-122 A
New Approach Method Of Company Valuation
by Ionita, Ion & Stoica, Marcel
- 123-135 Global
Sourcing Of Services: How Well Are The New Eu Member States
Coping With The Challenges? (Part I)
by Ghibutiu, Agnes & Poladian, Simona
- 136-154 Structural
Fund Absorption: A New Challenge For Romania?
by Zaman, Gheorghe & Georgescu, George
-
Forecasts
- 155-159 The
"Dobrescu Macromodel" Of The Romanian Market Economy
- 2005 Version* Yearly Forecast - Spring Forecast 2009
by Macromodel of the Romanian Market Economy Group
(Cornelia Scutaru, Ion Ghizdeanu, Lucian-Liviu Albu, Bianca
Pauna, Corina Saman)
back to Top
2008, Volume 9, Issue 4
- 15-58 A
Desirable Scenario For The Romanian Economy During 2008-2013
by Dobrescu, Emilian
- 59-87 Why
Is This Financial Crisis Occurring? How To Respond To It?
by Daianu, Daniel & Lungu, Laurian
- 88-110 The
Technology Forecasting Of New Materials: The Example Of
Nanosized Ceramic Powders
by Cheng, An-Chin & Chen, Chia-Yon
- 111-124 A
Model To Estimate Spatial Distribution Of Informal Economy
by Albu, Lucian Liviu
- 125-145 The
Impact Of Accession To The European Union On Perceptions
Related To Business Risks In Central And Eastern Europe. A
Distance-Type Analysis
by Paun, Cristian & Chiciudean, Alina &
Draghici, Alina & Munteanu, Costea & Musetescu, Radu
- 146-160 Modeling
The Economic Growth In Romania. The Influence Of Fiscal
Regimes
by Altar, Moisa & Necula, Ciprian & Bobeica,
Gabriel
- 161-173 Fiscal
Sustainability In The Mediterranean Region - A Comparison
Between The Eu And Non-Eu Member States
by Aristovnik, Aleksander
- 174-195 Impact
Of Globalisation On The Evolution Of The Demographic
Phenomenon
by Nicolae Balan, Mariana & Vasile, Valentina
- 196-205 Predictability
And Complexity In Macroeconomics. The Case Of Gross Fixed
Capital Formation In The Romanian Economy
by Scutaru, Cornelia & Saman, Corina & Stanica,
Cristian
- 206-209 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version Yearly Forecast- Preliminate for 2008
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2008, Volume 9, Issue 3
- 5-29 Product
Market Regulation in Romania: A Comparison with OECD Countries
- Part II
by Fay, Marianne & De Rosa, Donato & Pauna,
Catalin
- 30-50 Modelling
Tourism Demand: A Comparative Study Between Artificial Neural
Networks And The Box-Jenkins Methodology
by Fernandez, Paula & Teixeira, Joao &
Ferreira, Joao & Azevedo, Susana G.
- 51-62 Spurious
Regression And Cointegration. Numerical Example: Romania's M2
Money Demand
by Ruxanda, Gheorghe & Botezatu, Andreea
- 63-79 Testing
Market Efficiency Via Decomposition Of Stock Return.
Application To Romanian Capital Market
by Pele, Daniel Traian & Voineagu, Virgil
- 80-99 Analysis
Of Critical Control Points Of Alternative Decisions On The
Choice Of Performance Based Budgeting System: The Analysis Of
The Practices In Turkey's Public Institutions
by Tugen, Kamil & Akdeniz, H. Ahmet & Egeli,
Haluk & Aksarayli, Mehmet & Ozen, Ahmet
- 100-114 An
Analysis Of Domestic And External Shocks On Romanian Economy
Using A Dsge Model
by Caraiani, Petre
- 115-128 Modeling
The Economic Growth In Romania. The Role Of Human Capital
by Altar, Moisa & Necula, Ciprian & Bobeica,
Gabriel
- 129-131 The
"Dobrescu Macromodel" Of The Romanian Market Economy
- 2005 Version Yearly Forecast Autumn Forecast
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2008, Volume 9, Issue 2
- 5-34 Product
Market Regulation in Romania: A Comparison with OECD Countries
by Fay, Marianne & De Rosa, Donato & Pauna,
Catalin
- 35-43 The
Demand for Money in Transition Economies
by Ozturk, Ilhan & Acaravci, Ali
- 44-50 A
Model to Estimate the Composite Index of Economic Activity in
Romania - IEF-RO
by Albu, Lucian Liviu
- 51-66 Pattern
Classification Using Secondary Components Perceptron and
Economic Applications
by Ciuiu, Daniel
- 67-91 Hierarchical
Bayesian Estimation of the Number of Visits to the Generalist
in 2002/2003 French Health Survey
by Stefan, Marius
- 92-98 Comparing
of Welfare indicators between Turkey and European Union Member
States
by Ersoz, Filiz & Bayrak, Leyla
- 99-120 The
Role of Public Spending in the Growth Theory Evolution
by Minea, Alexandru
- 121-128 Second
order effects in population migration
by Purica, Ionut
- 129-131 The
"Dobrescu Macromodel" of the Romanian Market
Economy* -2005 Version-Yearly Forecast Scenario for “Increase
in foreign capital inflows”
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2008, Volume 9, Issue 1
- 17-26 Measuring
the Correlation of Shocks Between the UK and the Core of
Europe
by Hall, S.G. & Yhap, B.
- 27-40 Real
Convergence and Integration
by Iancu, Aurel
- 41-58 Elementary
Quantum Mechanical Principles and Social Science: Is There a
Connection?
by Haven, Emmanuel
- 59-81 Disinflation
and Inflation Targeting in Romania
by Daianu, Daniel & Kallai, Ella
- 82-90 Value-Based
Inventory Management
by Michalski, Grzegorz
- 91-101 Trends
in Structural Changes and Convergence in EU
by Albu, Lucian Liviu
- 102-118 On
Insurer Portfolio Optimization. An Underwriting Risk Model
by Preda, Vasile & Ciumara, Roxana
- 119-129 Polynomial
Interpolation and Applications to Autoregressive Models
by Mateescu, George Daniel
- 130-133 Mihail
Manoilescu: An Appreciation and a Critique
by Maneschi, Andrea
- 134-148 Alternative
Measures of Core Inflation in Romania
by Pelinescu, Elena & Dospinescu, Andrei Silviu
- 149-161 Measuring
the Socio-Economic Bipolarization Phenomenon
by Stefananescu, Stefan
- 162-174 Exploring
Students' Views on the Teaching
by Tsami, Eleni
- 175-181 Romania's
Exchange Rate Policy towards its European Monetary Union
Membership - Prospects and Challenges
by Marcu, Nicu
- 182-192 Forecasting
Romanian GDP Using a Small DSGE Model
by Caraiani, Petre
- 193-195 The
"Dobrescu Macromodel" of the Romanian Market Economy
- 2005 Version - Base Scenario for 2008
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
2007, Volume 8, Issue 4
- 5-23 The
Correction of Chronologic Series' Seasonal Fluctuations
according to Seasonal Simultaneous Additive and Multiplicative
Effects
by Bourbonnais, R. & Vallin, Ph.
- 24-48 Economic
Convergence. Applications - Second Part -
by Iancu, Aurel
- 49-60 Local
Governance and Corruption of a Country in the Process of
Joining the European Union
by Teodorescu, Daniel & Andrei, Tudorel & Rosca,
Ion Gh. & Profiroiu, Marius & Turtureanu, Mihai
- 61-76 Multi-Scale
Integrated Analysis of Societal Metabolism and Jevons' Paradox
for Romania, Bulgaria, Hungary and Poland
by Iorgulescu Polimeni, Raluca & Polimeni, John
M.
- 77-87 Absolute
Risk Aversion on the Romanian Capital Market
by Paun, Cristian & Brasoveanu, Iulian &
Musetescu, Radu
- 88-96 Current
Account Deficits and Implications on Country Risk of Romania
by Georgescu, George
- 97-103 Applying
Nelder Mead's Optimization Algorithm for Multiple Global
Minima
by Stefanescu, Stefan
- 104-113 David
Ricardo, Contemporary Economist
by Popescu, Dan
- 114-123 An
Estimated New Keynesian Model for Romania
by Caraiani, Petre
- 124-126 The
"Dobrescu” Macromodel of the Romanian Market Economy -
2005 version. Yearly Forecast - Preliminary results for 2007
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2007, Volume 8, Issue 3
- 5-18 The
Question of Economic Convergence - first part -
by Iancu, Aurel
- 19-41 Neuro-Adaptive
Model for Financial Forecasting
by Nastac, Iulian & Dobrescu, Emilian &
Pelinescu, Elena
- 42-53 Portofolio
Managament Approach in Trade Credit Decision Making
by Michalski, Grzegorz
- 54-62 Contribution
of Institutional Sectors to Economic Growth
by Ghizdeanu, Ion & Bria, Tiuta
- 63-80 Energy
Consumption in Transitional Economies: Jevons' Paradox for
Romania, Bulgaria, Hungary, and Poland (Part I)
by Polimeni, John M & Iorgulescu Polimeni, Raluca
- 81-102 A
Model to Evaluate the Regional Competitiveness of the EU
Regions
by Mereuta, Cezar & Albu, Lucian Liviu & Iordan,
Marioara & Chilian, Mihaela Nona
- 103-123 The
Barometer of the Romanian Economy* - July 2007 Version-
by Florescu, Ionel & Chilian, Nona & Scutaru,
Cornelia & Radu, Brandusa Mihaela & Uzlau, Carmen
& Iordan, Mioara & Caraiani, Petre & Pecican,
Liana
- 124-129 The
"Dobrescu" Macromodel of the Romanian Market
Economy* - 2005 version - Yearly Forecast - The second
actualised scenario
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
2007, Volume 8, Issue 2
- 5-15 Inter-industries
productivity gap and the services employment dynamics
by Jula, Dorin & Jula, Nicoleta
- 15-25 The
Statistical Analysis of finding Optium Ratio between Real
Aircraft and Simulator Flights: an application to army
aviation
by Altinok, Taner & Lafci, Aydin & Ersoz, Filiz
- 26-43 The
impact of the National Bank of Romania Monetary Policy on the
Balance of Payments
by Radulescu, Magdalena
- 44-56 Socio-economic
efects of the Labor Force Migration in an enlarged Europe
by Nicolae, Mariana & Radu, Bridusa Mihaela
- 57-68 Cities
and their place in the European Union Urban Policy
by Antonescu, Daniela & Ghisa Silea, Maria
- 69-75 Institutional
Structures as Benard Taylor Processeses
by Purica, Ionut
- 76-86 An
Analysis of the Fluctuations in the Romanian Economy using the
Real Business Cycles Approach
by Caraiani, Petre
- 87-96 How
much the Rounding Errors could affect the Computer Results
by Stefanescu, Stefan
- 97-117 The
Barometer of the Romanian EConomy* MAY 2007 VERSION
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia &
Osmanovici, Crenguta & Uzlau, Carmen & Caraiani, Petre
& Pecican, Liana
- 118-123 The
"DOBRESCU” Macromodel of the Romanian Market Economy* -
2005 version - Yearly Forecast - actualised scenario
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2007, Volume 8, Issue 1
- 7-25 Modelling
The Romanian Economy: Some Data Problems
by Dobrescu, Emilian
- 26-44 Computable
General Equilibrium Models For The Central And Eastern
European Eu Member States: A Survey
by Mohora, Maria C. & Bayar, Ali
- 45-56 Spatial
Econometrics - Applications To Investigate Distribution Of Co2
Emission In Europe
by Albu, Lucian Liviu
- 57-64 Unit
Labor Cost In Romania
by Ghizdeanu, Ion & Tudorescu, Veronica
- 65-76 Extending
The Augmented Solow Growth Model To Explain Transitional
Economies
by Polimeni, John M. & Iorgulescu Polimeni, Raluca
& Trees, W. Scott
- 77-88 Modelling
The Economic Growth In Romania With The Solow Model
by Caraiani, Petre
- 89-96 Cultural
Tourism And Sustainable Development
by Ioan Franc, Valeriu & Istoc, Elena Manuela
- 97-114 The
Barometer Of The Romanian Economy - February 2007 Version
by Iordan, Mioara & Florescu, Ionel & Chilian,
Nona & Scutaru, Cornelia & Pana, Crenguta & Uzlau,
Carmen & Caraiani, Petru & Pecican, Liana
- 115-125 The
"Dobrescu" Macromodel Of The Romanian Market Economy
- 2005 Version - Yearly Forecast
by Pauna, Bianca & Ghizdeanu, Ion & Scutaru,
Cornelia & Fomin, Petre & Saman, Corina
back to Top
2006, Volume 7, Issue 4
- 5-22 Estimating
the Real Effective Exchange Rate (REER) by Using the Unit
Labor Cost (ULC) in Romania
by Pelinescu, Elena & Caraiani, Petre
- 23-37 Research
and Development as a Determinant of Services Sector
Competitiveness
by Popescu, Nela & Tachiciu, Laurentiu
- 38-54 Analysis
of Foreign Imbalances and Exchange Rate Policy in the Romanian
Economy
by Scutaru, Cornelia & Iordan, Mioara & Stanica,
Cristian & Pauna, Bianca
- 51-70 Non-linear
effects in knowledge production
by Purica, Ionut
- 55-70 Social
Development Aspects by Regional Level in Romania
by Pauna, Carmen Beatrice & Andrei, Dalina
- 82-89 Alternative
Methods of Estimating the Okun Coefficient. Applications for
Romania
by Caraiani, Petre
- 82-109 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Caraiani, Petre &
Pecican, Liana
- 110-111 The
"Dobrescu" Macromodel of the Romanian Transition
Economy - Yearly and Monthly Forecast -
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2006, Volume 7, Issue 3
- 5-13 Trends
in the Interest Rate - Investment - GDP Growth Relationship
by Albu, Lucian Liviu
- 14-25 Application
of Discrete Sets in the Risk Theory
by Ionita, Ion & Stoica, Marcel
- 26-38 Ethical
Mastery of Innovative Technologies
by Broche, Serban & Munteanu, Costea
- 39-50 Does
the Inflation Targeting Have a Positive Role upon the
Convergence of the Inflation Rate?
by Pelinescu, Elena & Caraiani, Petre
- 51-70 Considerations
on the Reform in the Power Sector (Avoiding Chaos on the Path
to an Optimal Market Structure)
by Purica, Ionut
- 71-80 Competitive
Strategy and Productivity Growth
by Vasile, Dragos
- 81-100 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Caraiani, Petre &
Pecican, Liana
- 101-102 The
"Dobrescu" Macromodel of the Romanian Transition
Economy - Yearly and Monthly Forecast -
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2006, Volume 7, Issue 2
- 5-9 On
the Application of Genetic Algorithms to Differential
Equations
by Mateescu, George Daniel
- 10-31 The
Impact of the National Bank of Romania's Monetary Policy on
the Banking Credits, the Domestic Savings and Investments (As
Compared to the Other Central and Eastern European Countries)
by Radulescu, Magdalena
- 32-46 On
Composite Models: Weibull-Pareto and Lognormal-Pareto. - A
comparative study -
by Preda, Vasile & Ciumara, Roxana
- 47-57 An
Unbiased Estimator for the Parameter of a Homographic
Distribution Used in Economy
by Stefanescu, Poliana & Stefanescu, Stefan
- 58-71 Option
bounds for multinomial stock returns in Jump-Diffusion
processes - a Monte Carlo simulation for a multi-jump process
by Lupu, Radu
- 72-88 Competitiveness
and Corruption in Romania - Forecasting in the Context of the
Romanian Integration into the European Union
by Ogrean, Claudia & Herciu, Mihaela
- 89-109 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Pecican, Liana
- 110-111 The
"Dobrescu" Macromodel of the Romanian Transition
Economy - Yearly and Monthly Forecast -
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
back to Top
2006, Volume 7, Issue 1
- 5-23 An
Adaptive Retraining Method for the Exchange Rate Forecasting
by Dobrescu, Emilian & Nastac, Iulian &
Pelinescu, Elena
- 24-31 Inward
Processing Trade and Implications for the Balance of Payments
Current Account (The Case of Romania)
by Georgescu, George
- 32-50 Double-Conditioned
Potential Output
by Dobrescu, Emilian
- 51-64 The
Relationship between Unemployment and Output Cycles in Korea
by Caraiani, Petre
- 65-73 A
Model to Forecast the Evolution of the Structure of a System
of Economic Indicators
by Andreica, Marin
- 74-83 The
Lisbon Strategy
by Ivan Ungureanu, Clementina & Marcu, Monica
- 84-90 The
Diffusion of Product Innovations and Market Structure
by Idu, Roxana
- 91-110 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Pecican, Liana
- 111-112 The
"Dobrescu" Macromodel of the Romanian Transition
Economy - Yearly and Monthly Forecast -
by Scutaru, Cornelia & Fomin, Petre & Pauna,
Bianca
2005, Volume 6, Issue 4
- 5-24 Impulse
Analyses Of The Romanian Inflation
by Pelinescu, Elena & Dospinescu, Andrei Silviu
- 25-43 Output
Gap And Shocks Dynamics. The Case Of Romania
by Scutaru, Cornelia & Stanica, Cristian Nicolae
- 44-63 Unobserved
Components Methods To Estimate Potential Gdp (The Case Of
Romania)
by Stanica, Cristian Nicolae
- 64-82 Aspects
Of Regional Competitiveness In Romania - Part Ii
by Iordan, Mioara & Chilian, Mihaela Nona
- 83-93 Forecasting
Eu-Romania Trade By Gravity Analysis
by Ferragina, Ana & Giovannetti, Giorgia &
Pastore, Francesco
- 94-108 Romania
And Bulgaria - Economy, Economic Policies, Foreign Direct
Investments And Accession To The Eu
by Andrei, Dalina
- 109-119 The
Econometric Analysis Of Macroeconomic Policies Applied In The
Republic Of Moldova Over The Period 1994-2004
by Partachi, Ion & Grosu, Irina
- 120-140 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Pecican, Liana
- 141-147 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2005, Volume 6, Issue 3
- 5-21 Analysis
Of The Correlation Between The Gdp Evolutions And The Capital
And Labor Factors In Romania
by Zaman, Gheorghe & Goschin, Zizi & Herteliu,
Claudiu
- 22-36 Stochastic
Modelling And Prognosis Of An Underlying Asset Pricing
by Cipu, Elena Corina & Panzar, Laura
- 37-58 A
Model To Forecast The Monthly Inflation In Romania
by Pelinescu, Elena & Dospinescu, Andrei Silviu
- 59-64 Choosing
Business Risk Measures
by Popescu, Nela
- 65-90 Social
Market Economy. The German Model
by Muresan, Sorin
- 91-113 Comparative
Advantage In The Generalized Scheme Of Manoilescu
by Dogaru, Vasile
- 114-134 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Pecican, Liana
- 135-140 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
back to Top
2005, Volume 6, Issue 2
- 5-25 Interregional
Migration In Romania After 1990
by Constantin, Daniela Luminita & Goschin, Zizi
& Parlog, Cornelia
- 26-30 Optimization
By Using Evolutionary Algorithms With Genetic Acquisitions
by Mateescu, George Daniel
- 31-49 An
Econometric Model Of Rol-Eur Real Exchange Rate Determination
by Radulescu, Magdalena
- 50-71 Impact
Of Collinearity On The Estimated Parameters And Classical
Statistical Tests Values Of Multifactorial Linear Regressions
In Conditions Of O.L.S
by Pavelescu, Florin Marius
- 72-84 Combining
The Forecasts Using A Statistical Approach
by Dospinescu, Andrei Silviu
- 85-90 The
Use Of Administrative Data Sources For Business Statistics
Purposes
by Ivan Ungureanu, Clementina
- 91-110 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Chilian, Nona & Scutaru, Cornelia & Pana,
Crenguta & Uzlau, Carmen & Pecican, Liana
- 111-114 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2005, Volume 6, Issue 1
- 5-29 Macromodel
Estimations for the updated 2004 Version of the Romanian
Pre-Accession Economic Programme - Working Paper
by Dobrescu, Emilian
- 30-34 A
Dynamic Model to Estimate The “Pure” Productivity
by Albu, Lucian Liviu
- 35-47 The
Influence of Regional Disparities of Romania on Attracting
Foreign Direct Investments
by Pauna, Carmen Beatrice
- 48-55 Integration
of the Central and East European Countries into the European
and Global Network Economy
by Constantin, Daniela Luminita
- 56-70 Analysis
of the Foreign Trade and Investment Policies in Romania in the
Process of Accession to the European Union
by Nicolae, Mariana & Pana, Crenguta & Andrei, Dalina
- 71-79 The
European Union's Regional and Cohesion Policy In 2007-2013
by Antonescu, Daniela
- 80-98 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu, Ionel
& Pecican, Liana & Chilian, Nona & Scutaru,
Cornelia & Pana, Crenguta & Uzlau, Carmen
- 99-105 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin & Fomin,
Petre & Pauna, Bianca
back to Top
2004, Volume 5, Supplement
- 5-34 Quarterly
Gdp Data Correction using Principal Components Analysis. The
Case of the Romanian Economy - GDP Expenditures Side
by Klein, Lawrence R. & Roudoi, Andrei & Eskin,
Vladimir & Albu, Lucian Liviu & Stanica, Cristian
Nicolae
- 35-51 Towards
A New Strategy Of Monetary Policy: Inflation Targeting
by Isarescu, Mugur
- 52-66 Principal
Components Model of the Romanian Economy. GDP - Production
Side
by Klein, Lawrence R. & Roudoi, Andrei & Eskin,
Vladimir & Albu, Lucian Liviu & Stanica, Cristian
Nicolae & Nicolae, Mariana & Chilian, Mihaela Nona
- 67-80 Principal
Components Model of the Romanian Economy. Study of the Oil
Price Impact upon GDP
by Klein, Lawrence R. & Roudoi, Andrei & Eskin,
Vladimir & Nicolae, Mariana
2004, Volume 5, Issue 4
- 5-20 Modeling
The Participation Of Households And Firms In Formal And
Informal Economic Activities
by Pauna, Bianca
- 21-39 Fiscal
Adjustment In Hungary (1991-2003)
by Fugaru, Amalia
- 40-51 Romania'S
Adoption Of A Currency Board Arrangement In The Context Of
European Union Accession - Part V
by Stan, Andreea
- 52-67 Aspects
Of Regional Competitiveness In Romania (Part I)
by Iordan, Mioara & Chilian, Mihaela Nona
- 68-86 Modeling
Inflation In Romania
by Pelinescu, Elena & Turlea, Geomina
- 87-105 Romanian
Agrifood Sector - Macroeconomic Correlations Of Domestic
Competitiveness
by Toderoiu, Filon
- 106-115 Impact
of the Oil Petrol Price Changes on the Romanian Gross Domestic
Product using The Method of Principal Components
by Nicolae, Mariana
- 116-120 Methods
for the Efficient Operation of the Decisional Decentralization
by Constantinescu, Dan
- 121-132 Nominal
and Real Stylized Facts of the Business Cycles in Romanian
Economy
by Caraiani, Petre
- 133-150 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Stanica, Cristian
- 151-154 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
back to Top
2004, Volume 5, Issue 3
- 5-16 The
Impact Of Human Capital On Economic Growth. The Case of
Romania: 1990-2002
by Caraiani, Petre
- 17-34 Currency
Boards And Economic Stabilization: The Romanian Case - Part
IV* -
by Stan, Andreea
- 35-48 Measuring
Inflation
by D'Elia, Enrico
- 55-65 Economic
Measuring - Some Epistemological Issues
by Dinga, Emil
- 66-73 Macroeconomic
Forecasting with a SAM Model for the Romanian Economy - Part
II - Equations of the Model
by Stanica, Cristian
- 74-90 An
Analysis of Romania's Tourism Behavior since 1990
by Andrei, Dalina
- 91-96 A
Brief Analysis of Household Savings in Romania
by Panaite, Mihai
- 97-116 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Stanica, Cristian
- 117-120 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2004, Volume 5, Issue 2
- 5-19 Estimating
NAIRU for the Romanian Economy
by Albu, Lucian Liviu
- 20-37 The
Cities: Reactors of Economic Transactions
by Purica, Ionut
- 38-64 Structural
Changes in the Romanian Economy
by Scutaru, Cornelia & Florescu, Ionel
- 65-84 The
Currency Board Model for Transition Economies (Part III)
by Stan, Andreea
- 85-101 Features
of the Ordinary Least Square (OLS) Method. Implications for
the Estimation Methodology
by Pavelescu, Florin Marius
- 102-122 The
Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Stanica, Cristian
- 123-126 THE
“DOBRESCU” MACROMODEL OF THE ROMANIAN TRANSITION ECONOMY -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
back to Top
2004, Volume 5, Issue 1
- 5-14 Development
Of Production Function Model In Order to Quantify the
Contribution of Factors to Long-Term Growth In Romania
by Albu, Lucian Liviu
- 15-24 Restructuring
And Labor Market Efficiency In Romania During the Period of
Transition
by Zaman, Constantin
- 25-37 The
Romanian Manufacturing Industry from the Perspective of
Integration of Romania into the European Union
by Mereuta, Cezar
- 38-42 Numerical
Analysis of Non-Closed Models
by Mateescu, George Daniel
- 43-51 Analysis
and Forecast of the Educational Process Duration through
Markovian Models
by Nicolae, Mariana
- 52-71 Farm
Consolidation in Romania - Options And Opportunities
by Alexandri, Cecilia
- 72-91 Theorizing
and Understanding Transition - Anchoring Inflation: The Role
of Credibility, Expectation and the Political Process
by Stan, Andreea
- 92-96 MACROECONOMIC
FORECASTING BASED ON A SAM MODEL OF THE ROMANIAN ECONOMY -
Part I - Main Features of the Model
by Stanica, Cristian
- 97-108 Estimating
Total Factor Productivity In The Romanian Economy
by Caraiani, Petre
- 109-128 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Stanica, Cristian
- 129-133 The
“Dobrescu” Macromodel of the Romanian Transition Economy -
Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre & Pauna, Bianca
2003, Volume 4, Supplement
- 5-16 Modelling
The Economic Cycles. A Theoretical Approach
by Albu, Lucian Liviu & Nicolae, Mariana &
Iordan, Mioara & Caraiani, Petre
- 17-24 Annual
And Medium-Term Analyses And Forecasts Based On „Dobrescu”
Macromodel Of The Romanian Economy
by Scutaru, Cornelia & Iordan, Mioara & Marin,
Dinu & Stancu, Stelian & Ciumara, Roxana & Fomin,
Petre
- 25-31 Multi
- Annual Scenarios Using A Small - Sized Rmsm Type Of Model In
Order To Forecast The Main Macroeconomic Indicators In Romania
by Nicolae, Mariana & Albu, Lucian Liviu &
Andrei, Dalina & Stanica, Cristian & Iordan, Mioara
- 32-63 Possible
Evolutions Of The Romanian Economy (Macromodel Estimations)
by Dobrescu, Emilian
- 64-77 Scenarios
Of Economic Development In Romania - Medium To Long-Term
Forecasting Models
by Albu, Lucian Liviu & Roudoi, Andrei
- 78-91 Methodology
Of Scenario Forecasting Of Russia's Economic Development
by Mikhailenko, Kirill
- 92-110 Modelling
The Effects Of Eu Enlargement Using The Budgetary Policy
Variables
by Scutaru, Cornelia & Pauna, Bianca
- 111-118 Feer:
Relevant Literature And Empirical Literature
by Pelinescu, Elena
back to Top
2003, Volume 4, Issue 4
- 7-22 The
Romanian Growth Potential - A Cge Analysis
by Croitoru, Lucian & Tarhoaca, Cornel
- 23-49 Macroeconomic
Estimations For The Romanian “Pre-Accession Economic Program”
(The 2003 Version)
by Dobrescu, Emilian
- 50-64 Factors
And Mechanisms Of Economic Growth In Transition Economies Of
Different Types (Case Of Romania)
by Albu, Lucian Liviu & Roudoi, Andrei
- 65-85 Monetary
Policy, Exchange Rate, And The Transmission Mechanism In
Romania: A Structural Var Approach
by Botel, Cezar
- 86-111 Theorizing
And Understanding Transition (Part I)
by Stan, Andreea
- 112-122 Inward
Processing Trade And The Romanian Foreign Trade
by Georgescu, George
- 123-126 The
Dobrescu Macromodel Of The Romanian Transition Economy -
Yearly And Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
2003, Volume 4, Issue 3
- 5-36 Subduing
High Inflation In Romania. How To Better Monetary And Exchange
Rate Mechanisms?
by Daianu, Daniel
- 37-48 The
Evaluation Of The Economic Research Works. A Relevance
Indicator
by Ioan Franc, Valeriu
- 49-71 Delineating
Efficient Portfolios And Forecasting The Conditional Variance:
The Case Of The Bucharest Stock Exchange
by Darasteanu, Catalin Cristian
- 72-92 The
Agrifood Sector - Linkages And Driving Effects In The National
Economy
by Toderoiu, Filon
- 93-97 A
Short-Time Prediction Of The Romanian Personal Computers
Market Based On The Moore Law
by Mateescu, George Daniel & Rasturnoiu, Constantin
& Saman, Corina & Buneci, Mihai
- 98-106 Employment
Dynamics In The Candidate Central And East European Countries
Using The Principal Components Analysis
by Nicolae, Mariana
- 118-134 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Pana, Crenguta
& Stanica, Cristian
- 135-138 The
Dobrescu Macromodel Of The Romanian Transition Economy -
Yearly And Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
back to Top
2003, Volume 4, Issue 1-2
- 5-14 The
Difficult Task Of Maintaining Credibility
by Croitoru, Lucian & Tarhoaca, Cornel
- 15-21 Measurement
Methods Of The Non-Observed Economy
by Ivan Ungureanu, Clementina
- 22-34 The
Analysis Of Agricultural Policies In Transition -Romania's
Case
by Gavrilescu, Dinu
- 35-50 Input-Output
Analysis: Global Competitiveness Of Sectors
by Scutaru, Cornelia & Florescu, Ionel
- 51-69 Food
Security In Romania
by Alexandri, Cecilia
- 70-78 Time
Series Analysis Using Abstract Systems Having An Infinite
Number Of Equations
by Mateescu, George Daniel
- 79-85 Underground
Economy Modelling: Simple Models With Complicated Dynamics
(Part I)
by Albu, Lucian Liviu
- 86-97 Causes
And Size Of Informal Economy In Romania
by Pelinescu, Elena
- 98-111 Structural
Changes In The Consumer Goods Supply In Romania
by Iordan, Marioara & Nicolae, Mariana
- 112-121 Use
Of The Almon Model To Determine The Delay In The Propagation
Shocks - Generated By Changes In Some Inflation Components -
In The Consumer Price Index
by Nicolae, Mariana
- 122-132 A
Deterministic Method For Short-Term Gdp Evaluation
by Stanica, Cristian Nicolae
- 133-170 The
Competitiveness Of The National Economy
by Gaftea, Viorel
- 171-179 Current
Stage Of Foreign Direct Investments In Romania
by Andrei, Dalina Maria
- 180-196 The
Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Ionescu, Mihaela & Andrei, Dalina &
Chilian, Nona & Scutaru, Cornelia & Stanica, Cristian
- 197-199 Short-Term
Forecast
by Albu, Lucian Liviu
- 200-203 The
“Dobrescu” Macromodel Of The Romanian Transition Economy -
Yearly And Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
back to Top
2002, Volume 3, Supplement
2002, Volume 3, Issue 3-4
- 5-17 Modelling
Informal Labour Market Participation In The Context Of
European Economic Integration
by Pauna, Catalin & Kim, Byung Yeon & Pauna,
Bianca & Scutaru, Cornelia
- 18-28 Households'
Activities In Informal Economy: Size And Behavioural Aspects
(Ii)
by Albu, Lucian Liviu & Kim, Byung Yeon
- 29-51 A
Micro-Econometric Approach For Assessing The Determinants Of
The Informal Economy In Romania
by Scutaru, Cornelia & Pauna, Catalin & Pauna,
Bianca
- 52-73 Benefits
And The Costs Of Eu Enlargement. Implications For The Formal
And Informal Sectors In Transition - The Case Of Romania
by Scutaru, Cornelia & Pauna, Catalin & Pauna,
Bianca
- 74-89 Determinants
Of The Romanian Households' Informal Economy
by Pelinescu, Elena
- 104-110 Influence
Of Operation Results On The Economic Performance Of The
Romanian Companies
by Ivan Ungureanu, Clementina
- 111-115 Integrating
Learning Region Objectives In Development Strategies. Can
Romania Learn From International Experience?
by Pauna, Carmen Beatrice & Gabor, Daniela
- 116-124 Study
Of Labour Dynamics Using The Semi-Markovian Processes
by Nicolae, Mariana
- 125-143 The
Barometer Of The Romanian Economy
by Iordan, Marioara & Florescu, Ionel & Chilian,
Nona & Scutaru, Cornelia & Stanica, Nicolae Cristian
& Nicolae, Mariana
- 147-148 The
"Dobrescu" Macromodel Of The Romanian Transition
Economy* -Yearly And Monthly Forecast - September 2002 Version
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
back to Top
2002, Volume 3, Issue 2
- 5-14 Sustainability
Function
by Albu, Lucian Liviu
- 15-29 Effects
Of Cap Adoption Upon Agricultural Demand, Supply And Trade
by Alexandri, Cecilia
- 30-38 Previsional
Estimates Of The Romanian Economy In 2001 - The "Dobrescu"
Macromodel Of The Romanian Transition Economy
by Scutaru, Cornelia
- 39-50 Some
Aspects Of The Comparative Foreign Trade
Advantages/Disadvantages
by Chilian, Nona
- 51-57 Fiscal
Policy In Euroland
by Gabor, Daniela
- 58-62 Issues
Regarding The Use Of Labour Resources In Romania
by Parlog, Cornelia & Constantin, Luminita
- 63-80 The
Barometer Of The Romanian Economy
by Iordan, Marioara & Florescu, Ionel & Chilian,
Nona & Scutaru, Cornelia & Stanica, Nicolae Cristian
& Gabor, Daniela
- 81-83 Short-Term
Forecast
by Albu, Lucian Liviu & Pelinescu, Elena
- 84-87 The
"Dobrescu" Macromodel Of The Romanian Transition
Economy* - Yearly And Monthly Forecast - April 2002 Version
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
- 88-100 The
New Requirements For The Input-Output Framework Of The
European System Of Accounts
by Ivan Ungureanu, Clementina
2002, Volume 3, Issue 1
- 5-16 Updated
Scenarios For The Romanian Economy Medium-Term Dynamics
by Dobrescu, Emilian
- 17-24 An
Attempt to Estimate the Size of Informal Economy based on
Household Behaviour Modelling (l)
by Albu, Lucian Liviu & Kim, Byung Yeon &
Duchene, Gerard
- 25-38 Monetary
Conditions Index: The Monetary Policy Indicator In Romania
by Croitoru, Lucian & Doltu, Claudiu & Tarhoaca,
Cornel
- 39-48 The
Underground Economy* - A Chance For The Poor?
by Pelinescu, Elena
- 49-61 Central
And Eastern Europe: Economic Conditions Ten Years After The
Transformation
by Berensmann, Kathrin & BeyfuB, Jorg
- 62-75 Agri-Food
Economy In Romania: Loss Of Internal And External
Competitiveness
by Toderoiu, Filon & Stefanescu, Carmen
- 76-97 Institutional
Rigidities as Specific Features of the Weakly Structured
Economies and their Effects on Economic Growth: The Case of
Industrial Labour Market (ll)
by Turlea, Geomina & Socha, Mieczyslaw
- 98-113 The
Barometer Of The Romanian Economy
by Iordan, Marioara & Florescu, Ionel & Chilian,
Nona & Scutaru, Cornelia & Stanica, Nicolae Cristian
& Pelinescu, Elena
- 114-116 Short-Term
Forecasting For Six Macroeconomic Indicators
by Albu, Lucian Liviu & Pelinescu, Elena
- 117-119 The
“Dobrescu” Macromodel Of The Romanian Transition Economy -
Yearly And Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
back to Top
2001, Volume 2, Issue 4
- 99-104 Report on the Outcome of the Delphi
Survey of the Information Society-Knowledge Society in Romania
by Filip, Florin Gheorghe & Dragomirescu, Horatiu
- 105-116 Is Romania Ready for the
Inflation-Targeting Regime?
by Pelinescu, Elena
- 117-119 Short-Term Forecasting of Six
Macroeconomic Indicators
by Albu, Lucian Liviu & Pelinescu, Elena
- 120-121 The “Dobrescu” Macromodel of the
Romanian Transition Economy - Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
back to Top
2001, Volume 2, Issue 3
- 5-23 Evolution of Inflation-Unemployment
Relationship in the Perspective of Romania's Accession to EU
by Albu, Lucian Liviu
- 24-58 Evaluating The Seignorage Costs Of Emu
Integration In Case Of Romania
by Zaman, Constantin
- 59-62 Net Economic Base Multipliers And
Public Policy
by Leven, Charles L.
- 63-77 Answer Of An Inflationary Circuit To
The Possible Shocks In Economy
by Scutaru, Cornelia
- 78-87 Modeling The Intra-Household Allocation
Process
by Pauna, Bianca
- 88-98 Impact Of The Economic Policies On
Household Consumption
by Iordan, Mioara
back to Top
2001, Volume 2, Issue 2
- 82-96 A View of The Household Consumption in
the Central And East-European Countries Aspiring to Join the
European Union
by Iordan, Mioara & Chilian, Mihaela Nona &
Regep, Mihai
- 97-101 Reorganization of the Industry - A
Premise for Romania's Regional Specialization from the
Perspective of the Integration into the Eu
by Pauna, Carmen Beatrice
- 102-117 Institutional Rigidities As Specific
Features Of The Weakly Structured Economies And Their Effects
On Economic Growth - The Effects On Economic Growth: The Case
Of Industrial Labor Market
by Turlea, Geomina
- 118-126 Convergence Of Repetitive
Guesstimation Algorithm On A Linear Regression Problem
by Agapie, Adriana
- 127-139 The Privatization And Its Reflection
In The Romanian National Accounts
by Ivan Ungureanu, Clementina
- 140-144 Short-Term Forecasting For 6
Macroeconomic Indicators: Inflation Dynamics Allows For The
Preparation For The Strong Leu
by Albu, Lucian Liviu & Pelinescu, Elena
- 145-148 The “Dobrescu” Macromodel Of The
Romanian Transition Economy - Yearly And Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
- 149-168 The Barometer Of The Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Scutaru, Cornelia & Chilian, Mihaela Nona
back to Top
2001, Volume 2, Issue 1
- 7-15 Some
Estimations Concerning The Informal Economy In Romania
by Dobrescu, Emilian
- 16-31 Tax Evasion And The Size Of Underground
Economy: A Theoretical And Empirical Investigation
by Albu, Lucian Liviu
- 32-47 A Dynamic Model Of The Money Demand In
Romania
by Scutaru, Cornelia & Pelinescu, Elena
- 48-55 Evolution Of The Main Factors Of
Production And Of Their Efficiency Of Use; Retrospective
Analyses; Reference Points For Macroeconomic Forecasts
by Desmireanu, Ionel
- 56-63 Unemployment Duration And Imperfect
Information - A Labor Market “Search With Misperception”
Model
by Pauna, Catalin & Pauna, Bianca
- 64-69 The Financial Blockage Of The Romania
Economy - Part II
by Dobrescu, Emilian & Mereuta, Cezar
- 70-81 Foreign Direct Investments In Romania:
1990-2000
by Bonciu, Florin
2000, Volume 1, Issue 4
- 85-89 Program For Relaunching The Areas In
Economic Decline In Romania
by Pauna, Carmen Beatrice
- 90-99 The Romanian Regions Competitiveness
by Jula, Dorin & Jula, Nicoleta
- 100-109 An Analysis Of The Wood Industry
by Cimpoeasu, Mihaela
- 110-121 Prior Information In Econometric
Global Optimization Problems: A Bootstrap Approach
by Agapie, Adriana
back to Top
2000, Volume 1, Issue 3
- 5-6 The “Dobrescu” Macromodel of the
Romanian Transition Economy - Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
- 7-10 Short-Term Forecasting For Six
Macroeconomic Indicators
by Pelinescu, Elena
- 11-28 The Financial Blockage of the Romania
Economy
by Dobrescu, Emilian & Mereuta, Cezar
- 29-57 Rigidities of the Labour Market in a
Transition Economy: The Case of Romania
by Ciupagea, Constantin
- 58-68 An Attempt at Modelling and Forecasting
the Household Consumption in Romania -Methodological Issues-
by Turlea, Geomina
- 69-74 Monetary Conditions Index in Romania.
Some Considerations
by Pelinescu, Elena & Slavoiu, Ovidiu & Salater,
Wilhelm & Sasu, Dana
- 75-84 Non-Observed Economy in Romania
by Ivan Ungureanu, Clementina
back to Top
2000, Volume 1, Issue 2
- 48-54 The Economic Requirements for Romania's
EU Accession
by Holzl, Franz
- 55-62 Input-Output Table within the Romanian
National Accounts
by Ivan Ungureanu, Clemantina
- 63-77 Estimating the Expected Unemployment as
a Function of the Speed of Restructuring - The Case of Romania
by Agapie, Adriana
- 78-96 The Barometer of the Romanian Economy
by Iordan, Mioara & Pelinescu, Elena & Florescu,
Ionel & Scutaru, Cornelia & Chilian, Mihaela Nona
2000, Volume 1, Issue 1
- 5-7 The “Dobrescu” Macromodel of the
Romanian Transition Economy - Yearly and Monthly Forecast
by Scutaru, Cornelia & Ciupagea, Constantin &
Fomin, Petre
- 8-28 Medium-Run Scenarios of the Romanian
Economy
by Dobrescu, Emilian
- 29-34 Strain and Stages of Central and
East-European Transition
by Albu, Lucian Liviu
- 35-47 Analysis of the Behaviour of Money
Demand
by Pelinescu, Elena & Scutaru, Cornelia
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