Content
Autumn 2015, Volume XXII, Issue 3(604), Autumn
- 251-272 The factors that affect on foreign direct investments in Turkey (sectoral comparisons)
by Eren ÖĞRÜL & Mehmet ERYİĞİT - 273-286 Legislative contributions to improving the economic efficiency of the medical laboratories in Romania
by Răzvan Mihai POPA
Summer 2015, Volume XXII, Issue 2(603), Summer
- 5-22 Instruments and practices concerning the absorption and use of structural and cohesion funds in Romania
by Ani MATEI & Carmen SĂVULESCU - 23-42 Foreign direct investment and income inequality in Central and Eastern Europe
by Svilena MIHAYLOVA - 43-54 Exports – trends and impacts on Romania’s economic growth process
by Anca Maria GHERMAN & George ȘTEFAN - 55-64 Innovation and regional performance in Romania
by Anca DACHIN & Constantin POSTOIU - 65-76 A multidisciplinary approach of communication
by Delia Mioara POPESCU & Ion PÂRGARU & Constanța POPESCU & Daniel MIHAI - 77-90 The issue of “true” money in front of the BitCoin's offensive
by Angela ROGOJANU & Liana BADEA - 91-102 Public choice and the social beneficiary
by Mariana IOVIȚU & Florina BRAN - 103-112 Stock market – economy growth nexus in an emerging country. The case of Romania
by Delia-Elena DIACONAŞU - 113-122 Determinants of savings in the APEC countries
by Kivanç Halil ARIÇ - 123-138 The status of Romanian agriculture and some measures to take
by Mirela Ionela ACELEANU & Anca Gabriela MOLĂNESCU & Liliana CRĂCIUN & Cristina VOICU - 139-150 Education and society: an institutional approach
by Marius-Cristian PANĂ - 151-162 Financial audit – feckless for economic re-launch
by Elena DOBRE & Laura BRAD - 163-170 Empirical evidence on the Ricardian equivalence in Romania
by Daniel BELINGHER & Nicolae MOROIANU - 171-182 Minimum wage – labour market rigidity factor
by Andreea Claudia ȘERBAN & Mirela Ionela ACELEANU - 183-188 Regional convergence. Case of Romania
by Elena Raluca MOISESCU (DUICAN) - 189-198 The exchange rate volatility in the Central and Eastern European Countries
by Bogdan Andrei DUMITRESCU & Silvia Maria ROȘCA - 199-214 A study of the impossible trinity in Romania
by Bogdan BĂDESCU - 215-222 Governance process improvement and development by audit consolitation
by Adelina DUMITRESCU PECULEA - 223-236 Analysis of the evolution of foreign direct investment in the European Union, amid the global economic crisis
by Marinela GEAMĂNU - 237-246 Types of international cooperation at the local level Bucharest city hall case study
by Mirela MINCĂ - 247-254 Short-run determinants of the USD/PLN exchange rate and policy implications
by Yu HSING - 255-264 The use of behavioral economics in promoting public policy
by Alina Maria NEAȚU - 265-274 New paradigms imposed by the global financial crisis
by Ioana Andrada MOLDOVAN (GAVRIL) - 275-284 Are financial audit elements and corporate governance policies solutions for the economic crisis?
by Florin DOBRE - 285-292 The kids are alright? A note on parental satisfaction in Germany
by Stephan HUMPERT - 293-302 Technological revolution, labor markets and income distribution in the knowledge economy
by Ioana Cristina FLORESCU - 303-310 The effects of competition regulations on mobile telecommunication markets
by Ioan Lucian ALEXA
Spring 2015, Volume XXII, Issue 1(602), Spring
- 5-14 The credit impact on the economic growth
by Daniel ARMEANU & Carmen PASCAL & Dorina POANTA & Cristina Andreea DOIA - 15-34 Predicting balance of payments crises for some emerging economies
by Archana KULKARNI & Bandi KAMAIAH - 35-48 Creativity and innovation – Sources of competitive advantage in the value chain of tourism enterprises
by Nicolae TEODORESCU & Aurelia-Felicia STĂNCIOIU & Anamaria Sidonia RĂVAR & Andreea BOTOȘ - 49-56 How to escape the middle income trap: international evidence from a binary dependent variable model
by Can Tansel TUĞCU - 57-84 Land value dynamics with endogenous human and physical capital accumulation
by Wei-Bin ZHANG - 85-96 Environmental Kuznets curve. Evidence from Romania
by Dorin JULA & Corina-Ionela DUMITRESCU & Ioana-Ruxandra LIE & Răzvan-Mihai DOBRESCU - 97-108 Effects of economic crisis on the distribution of earnings from Romania
by Amalia CRISTESCU & Dorel AILENEI - 127-144 An approach of social policy in terms of macro-stabilisation function
by Anca-Maria GHERMAN & George-Marian ȘTEFAN - 145-150 Economy recovery risks which Romanian companies has to cope with
by Daniela Livia TRAȘCĂ - 151-162 The measurement of fiscal behavior in some European countries: Panel data perspective
by Süleyman BOLAT & Aviral Kumar TIWARI - 163-194 Romanian municipal bond market at Bucharest Stock Exchange: further investigations
by Cornelia POP & Maria-Andrada GEORGESCU - 195-204 Inequality and economic growth: theoretical and operational approach
by Ana ANDREI & Liliana CRĂCIUN - 205-216 Measuring financial development in India: A PCA approach
by Sanjaya Kumar LENKA - 217-226 Welfare costs due to economic fluctuations according to different model setups
by Alexie ALUPOAIEI - 227-232 The role of rating agencies in international financial market
by Emilian-Constantin MIRICESCU - 233-244 Socioeconomic development index ranking calculations of cities with fuzzy clustering method: case of Turkey
by Necati Alp ERİLLİ - 245-250 Fiscal transparency in the European Union
by Alexandra ADAM - 251-258 Epistemic transfers in economics from social sciences
by Vlad NERĂU - 259-274 Accelerating the development of learning organizations: Shifting paradigms from current practice to human performance improvement
by John B. LAZĂR & Daniela ROBU - 275-282 Transferring business intelligence and big data analysis from corporations to governments as a hybrid leading indicator
by Dumitru-Alexandru BODISLAV - 283-290 The impact of cultural and educational accumulations on entrepreneurial behaviour. Main issues encountered in theoretical approaches
by Anca-Teodora ŞERBAN-OPRESCU (OPRESCU) & Ştefania-Cristina CUREA (NEAGU) - 291-300 Models for evaluating financial crisis – what went wrong for developed and emerging economies?
by Smaranda CIMPOERU - 301-310 Impact of financial crisis on the decision making process for insurance consumers
by Laura Elly NAGHI & Mihaela COVRIG & Adrian FEDEROVICI - 311-320 Beyond the implementation of a dynamic stochastic general equilibrium model
by Oana Simona HUDEA (CARAMAN) - 321-328 How the legislation influenced the M&A transactions in Romania
by Radu CIOBANU
June 2014, Volume XXI, Issue Special
- 9-14 New trends in catastrophic risk insurance in Romania
by Dumitru BADEA & Laura Elly NAGHI & Mihaela COVRIG - 15-21 Increases and decreases on Romanian insurance market
by Gherasim Solovestru DOMIDE & Alexandru DOMIDE - 21-27 ERM – A key option for a legal entity stability
by Iuliu Cosmin ȘERBĂNESCU - 28-31 Cornerstone approaches regarding insurance of deposits
by Andrei STĂNCULESCU - 32-39 Factors that influence the performance of listed companies considering the IFRS approach: Evidence from Romania
by Laura BRAD & Radu CIOBANU & Florin DOBRE - 40-56 Relationship between government bond markets in EU countries
by Kristina LEVISAUSKAITE & Vilija ALEKNEVICIENE & Egle ALEKNEVICIUTE - 57-63 Municipal Rating – Is It Necessary?
by Carmen Maria CONSTANTINESCU & Paul TANASESCU - 64-76 On a model of designing effective social assistance programs
by Adrian VINTILESCU BELCIUG & Lăcrămioara CORCHEŞ & Daniela CREŢU - 77-87 Treasury operations management
by Laurențiu Dumitru ANDREI & Petre BREZEANU - 88-93 Balancing local budgets in Romania
by Attila GYÖRGY - 94-103 Non-reimbursable external funds versus public debt
by Georgiana Camelia CREŢAN & Mirela Anca POSTOLE & Marilena CIOBĂNAȘU - 104-112 Digital economy and the reform of the Romanian tax system
by Iulia BUTNARU & Iulian Viorel BRAŞOVEANU - 113-127 Education and training – key variables of knowledge-based society and policies aimed to ensure economic growth within the framework of the Europe 2020 strategy
by Rodica GHERGHINA & Georgiana Camelia CREŢAN & Ioana DUCA - 128-137 Interdependences between sustainable development and sustainable economy
by Emilia Mioara CÂMPEANU & Carmen Valentina RĂDULESCU - 138-146 The state’s support in funding religious establishments
by Mircea CRICOVEAN - 147-154 The effects of introduction of flat tax in Romania: income from wages effects
by Petronela-Evelina BĂLU & Iulian Viorel BRAŞOVEANU - 155-189 Was RASDAQ doomed from the start? A preliminary investigation
by Cornelia POP & Cristina BALINT & Maria-Andrada GEORGESCU - 190-214 Financial services authority and moral hazard
by Mitica PEPI - 215-220 The analysis of the relationship between profit and average salary in the pharmaceutical industry
by Nicolae BALTEŞ & Georgiana Daniela MINCULETE (PIKO) & Maria Daciana RODEAN (COZMA) - 221-229 A new approach of the relationship between banking crisis, financial dependence and growth in Romania
by Rodica-Oana IONITA - 230-235 The IMF should and can be involved in preventing and combating international crisis?
by Dragoș-Ionuț VIȘAN - 236-245 Asset management companies: a sector analysis in Turkey
by Yusuf GOR & Bilgehan TEKIN - 246-257 The influence of interest rates on the exchange rate and exchange rate volatility
by Florin MAVRIS & Dumitru-Cristian OANEA - 258-272 Drivers of an international financial centre: lessons for Mauritius
by Kheswar JANKEE - 273-285 Is EMU a triggering factor for convergence or not? Empirical evidence using Phillips and Sul methodology
by Ioana Sorina MIHUȚ - 286-294 Is “too-big-to-fail” still an issue?
by Paula Hortensia BOTEZATU & Diana Raluca DIACONESCU - 295-309 Romania’s external competitiveness. A macro approach
by Ana-Maria CAZACU (BANCU) - 310-321 Macroprudential policies and tools
by Livia Maria ROTARU - 322-332 Determinants of non-performing loans before and after the beginning of the international financial crisis
by Radu MUNTEAN - 333-337 Communicative principles among corporate clients and regional branches of commercial banks
by Asie TSINTSADZE & Lela ONIANI - 338-346 Study regarding the correlation between nonperforming loans and gross domestic product in Romanian economy
by Nicolae BALTEŞ & Maria-Daciana RODEAN (COZMA) & Georgiana Daniela MINCULETE (PIKO) - 347-355 Contagion risk and the interdependence of the main risks in the Romanian banking sector
by Radu MUNTEAN - 356-362 Determinants of bank profitability: evidence from CreditCoop
by Ioana-Raluca DIACONU & Dumitru-Cristian OANEA - 363-378 Evaluation of Basel criteria for the international banking system
by Destan KIRIMHAN
December 2014, Volume XXI, Issue 12(601)
- 3-12 Data mining of transactional data for sales of dairy products
by Julian VASILEV - 13-26 Research on the evolution of controlling tasks and their delimitation from audit tasks
by Costantin ROMAN & Aureliana-Geta ROMAN & Elena MEIER & Mihaela MOCANU - 27-36 Franchise’s place within sustainable development matrix: an Institutional Economics approach
by Ion POHOAŢĂ & Oana-Ramona SOCOLIUC - 37-50 Sensory experience – between the tourist and the marketer
by Mihail-Cristian DIŢOIU & Aurelia-Felicia STĂNCIOIU & Nicolae TEODORESCU & Lucian-Florin ONIŞOR & Anamaria-Cătălina RADU - 51-62 Covering the social costs of market failure – the unsub of the value added
by Teodora I. DINU & Cătălin D. DUMITRICĂ - 63-82 Determinants of capital structure: comparison of empirical evidence for the use of different estimators
by Aviral Kumar TIWARI & Raveesh KRISHNANKUTTY - 83-96 How can Africa attract different forms of capital flow: theoretical perspectives
by Nyankomo MARWA - 97-122 Legal and Practical Aspects of the Associations between the City of Bucharest and the Large Territorial Collectivities – Actuality and Perspective
by Cezar Corneliu MANDA & Cristina Elena NICOLESCU - 123-142 Psychological biases and the capital structure decisions: a literature review
by Tekin BILGEHAN - 143-152 The Role of “After School” Units in Romania’s Rural Areas
by Mihai PĂUNICĂ & Adrian ANICA-POPA - 153-164 Is Cash Conversion Cycles Optimum in Turkish Listed Food-Beverage Firms?
by Filiz KONUK & Feyyaz ZEREN - 165-184 Comparative analysis of the financial discount rate and of the net present value of a public investment project throughout its life
by Bogdan Ioan COJOCEA
November 2014, Volume XXI, Issue 11(600)
- 1-2 The distinctivities of the complexity
by Marin Dinu - 7-26 Enhancing the capacity for innovation of public administration. An exploratory study on e-Governance, ICT, knowledge management in Romania
by Ani MATEI & Carmen SĂVULESCU - 27-42 Exchange rates and foreign exchange reserves in Turkey: nonlinear and frequency domain causality approach
by Tayfur BAYAT & Mehmet SENTURK & Selim KAYHAN - 43-56 The challenges of accounting profession as generated by controlling
by Costantin ROMAN & Aureliana-Geta ROMAN & Elena MEIER - 57-70 A cross-country comparison of the personal income tax systems progressivity
by Cătălina COZMEI & Elena Claudia ŞERBAN - 71-84 Covered bonds vs. assets securitization
by Silviu Eduard DINCĂ - 85-94 A mark-up model of inflation for Morocco
by Hicham BENNOUNA - 95-104 Economic benefits of the infrastructure projects implemented in the Reservation of the Danube Delta Biosphere
by Mihai PĂUNICĂ - 105-120 Ontological constraints on rational irrationality: the case of electoral preferences
by Mihai UNGUREANU - 121-140 Relationship between the misalignment of the real exchange rate and capital flight in the developing countries
by Abdessalem GOUIDER & Ridha NOUIRA - 141-156 The leadership role of a local public administration CIO: the case of Bucharest
by Cristina Elena NICOLESCU & Bogdan BERCEANU
October 2014, Volume XXI, Issue 10(599)
- 1-2 The turbulence of cycles
by Marin Dinu - 7-20 How growth-friendly are productive public expenditures? An empirical analysis for Eastern Europe
by Petru-Ovidiu MURA - 21-32 The validity of Marshall-Lerner condition in Turkey: A cointegration approach
by Hakan TÜRKAY - 33-58 Turn Of the Month Effect and Financial Crisis: A new explanation from the Greek Stock Market (2002-2012)
by Evangelos VASILEIOU - 59-70 Econometric model used in the capital market analysis
by Mădălina Gabriela ANGHEL - 71-76 Economic order, catallactics and entrepreneurship
by Alina CREŢU & Roxana Lucia MIHAI & Irina Florentina BĂJAN - 77-88 Public-private partnership in the context of regional development – a solution for renewable energy projects?
by Alina-Mihaela BABONEA & Monica-Gabriela GHERMAN - 89-118 Mixed strategy Nash Equilibrium and Quantal Response Equilibrium. An experimental comparison using RPS games
by Alexandru VOLACU
September 2014, Volume XXI, Issue 9(598)
- 1-4 The epistemic abandonment
by Marin Dinu - 7-22 Diversifying the risk through portfolio investment
by Gabriela Victoria ANGHELACHE & Constantin ANGHELACHE - 23-42 Heterogeneous funding patterns and income structure of Croatian banks: panel data evidence
by Ana KUNDID - 43-50 Young people’s considerations regarding the fidelity of tourism products consumption
by Andreea BOTOŞ & Aurelia-Felicia STĂNCIOIU & Anamaria-Cătălina RADU & Nicolae TEODORESCU - 51-60 A stochastic convergence analysis for selected East Asian and Pacific countries: A Fourier unit root test approach
by Veli YILANCI & Ercan SARIDOĞAN & Okşan ARTAR - 61-70 Economic disparities between urban and rural Romanian labor market
by Mihaela Roberta STANEF - 71-82 Corporate social responsibility reporting of the banks in Bosnia and Herzegovina, Croatia and Montenegro
by Andrijana ROGOŠIĆ - 83-92 Demo-economic restructuring in South-Muntenia development region. Causes and effects on the regional economy
by Ionuţ BUŞEGA - 93-102 Adaptability and competitiveness of Romanian aeronautical industry in the European context
by Daniela MOCENCO - 103-114 Assessment of key determinants for economic growth in Pakistan
by Sami ULLAH & Saleem KHAN & Farid ULLAH - 115-125 The public debt management and the political marketing in the context of negative economic fluctuations on a global level
by Claudia BENCHESCU & Cosmin-Mihai LEFTER & Daniel Constantin PETREA & Alexandru BODISLAV
August 2014, Volume XXI, Issue 8(597)
- 1-3 Fundamental transfers
by Marin Dinu - 7-18 The analysis of regional earnings inequalities in Romania
by Amalia CRISTESCU & Larisa STĂNILĂ & Maria Denisa VASILESCU - 17-24 Wavelet based sample entropy analysis: A new method to test weak form market efficiency
by Anoop S. KUMAR & B. KAMAIAH - 25-38 Assessing integration of EU banking sectors using lending margins
by Radu MUNTEAN - 39-56 Measuring the governance in Pakistan: An introduction to KU Index
by Rana Ejaz Ali KHAN & Shafqut ULLAH - 57-66 Importance of financial perspective indicators in Balanced Scorecard in a leasing company
by Alina CHIŢU & Mădălina Elena OPRIŞ - 67-90 Quality based credit risk mitigation for bank performance enhancement: empiric study at Indonesia bank
by Nini AVIENI - 67-98 Natural capital in the global crisis context
by Constantin CONSTANTINESCU - 99-110 The development of Human Capital in the global crisis context
by Ortansa FLOREA (MOISE)
July 2014, Volume XXI, Issue 7(596)
- 1-3 Two words
by Marin Dinu - 7-22 Through creativity and innovation to economic development: is it possible in Romania?
by Mihaela DIACONU - 23-42 The analysis of the influence factors affecting the performance of pharmaceutical companies
by Dana-Maria BOLDEANU & Irina-Bogdana PUGNA - 43-54 Sensory marketing strategies. Case study: Oltenia
by Aurelia-Felicia STĂNCIOIU & Mihail-Cristian DIŢOIU & Nicolae TEODORESCU & Lucian-Florin ONIŞOR & Ion PÂRGARU - 55-66 Financial development and domestic savings in emerging Asian countries
by Yılmaz BAYAR - 67-86 Between objective and subjective in the sustainable development and the identification of crisis mitigation solutions
by Mihaela MUREŞAN & Emilia GOGU - 87-98 Appreciate the impact of relevant costing for decision making in Ready-Made Garments (RMG) industry of Bangladesh
by Mohammad Mazibar RAHMAN & Saiful ISLAM - 99-112 The economic crisis and the great problems of mankind
by Cătălin-Emilian HUIDUMAC-PETRESCU & Alexandru Cătălin POPA - 113-128 New theoretical foundations for economic policy
by Monica DOBRESCU - 129-143 Mutual influence of economic growth and economic development and its impact on social transformations
by Oleksandr KOSTYUCHYK
June 2014, Volume XXI, Issue 6(595)
- 1-3 The natural regulator
by Marin Dinu - 7-22 Assessing fiscal sustainability in some selected countries
by Alexis CRUZ-RODRÍGUEZ - 23-36 Some insights about determinants of economic growth in Romania. An empirical exercise
by Monica Pop SILAGHI & Ramona MEDEŞFĂLEAN - 37-50 Evolution of comovement between commodity futures: does biofuels matter?
by Dinçer DEDEOĞLU - 51-60 Romanian banking activity spatial distribution between 2009 and 2012
by Alina LUCA (BRĂTUCU) - 61-72 The impact of the current financial and economic crisis on the European labor market – an approach based on a new paradigm in the labor field
by Bogdan JIANU - 73-84 Perspectives on FDI in the context of economic crisis
by Raluca Andreea POPA & Ioana GAVRIL - 85-110 Interrelationship of biases: effect investment decisions ultimately
by Atif KAFAYAT - 111-120 Opinions on the government assets evaluation
by Valentin MAVRODIN & Vasile ILIE
May 2014, Volume XXI, Issue 5(594)
- 1-2 The methodological predicament
by Marin Dinu - 7-18 Increase of company performances and shareholders’ satisfaction by using design for adaptability (DFA)
by Sorin BRICIU & Sorinel CĂPUŞNEANU & Dan TOPOR & Raul BURDEA - 19-36 Forecasting crude oil market volatility in the context of economic slowdown in emerging markets
by Bernard MORARD & Florentina Olivia BĂLU - 37-50 The sensory brand of the destination. Case study: Transylvania
by Mihail-Cristian DIŢOIU & Aurelia-Felicia STĂNCIOIU & Gabriel BRĂTUCU & Lucian-Florin ONIŞOR & Andreea BOTOȘ - 51-68 Difficulties of the supporting pensioners by current employees – alternative to pension systems at international level. Empirical analysis in Romania
by Mirela CRISTEA & Nicu MARCU & Raluca DRĂCEA - 69-84 Single market fragmentation. The influence of the public decision system’s features upon the national decision system: A case study of the Romanian Eco-duty
by Lucica MATEI & Teodora I. DINU - 85-96 Effects of macroeconomic variables on poverty in Iran (Application of bootstrap technique)
by Farhad Khodadad KASHI & Mohammad Nabi SHAHIKI TASH - 97-112 Determination of factors affecting willingness to pay for low SAR value cell phones: A case study of Turkey
by Rüştü YAYAR & Yücel EROL & Derya DEMIR - 113-126 Implications of the financial crisis to the relevance of Taylor rule Case study: European Union
by Cătălin-Emilian HUIDUMAC-PETRESCU & Alexandru Cătălin POPA - 127-146 Non-performing loans – dimension of the non-quality of bank lending/loans and their specific connections
by Bogdan Florin FILIP - 147-153 Regional implications of salary in the European Union
by Andreea-Monica PREDONU
April 2014, Volume XXI, Issue 4(593)
- 1-2 Reversed triads
by Marin Dinu - 7-22 Banking relationship management – A new paradigm?
by Vasile DEDU & Dan Costin NIȚESCU - 23-38 The analysis of time intervals for establishing types of users
by Ion IVAN & Alin ZAMFIROIU & Bogdan VINTILĂ - 39-52 VAR analysis on Foreign Direct Investment in Romania
by Marinela GEAMĂNU - 53-66 Using the regression model for the portfolios analysis and management
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL - 67-80 The role of small and medium enterprises and poverty in Pakistan: An empirical analysis
by Sharafat ALI & Humayun RASHID & Muhammad Aamir KHAN - 81-98 Dimensions of the destination’s sensory profile. Case study: Muntenia
by Aurelia-Felicia STĂNCIOIU & Mihail-Cristian DIŢOIU & Nicolae TEODORESCU & Lucian-Florin ONIŞOR - 99-112 Corporate Governance in Eastern Europe: Case of Romania and Russian Federation
by Issam MF SALTAJI - 113-130 Study on the competitiveness of Small and Mediumsized Enterprises (SMEs) in Vâlcea County
by Daniel Sorin MANOLE & Elena NISIPEANU & Răzvan DECUSEARĂ - 131-142 Relation between monetary announcement and Phillips Curve? An empirical study from Malaysia
by Abey P. PHILIP - 143-152 Management priorities to increase labor force flexibility in the Romanian organizations
by Ionuţ CĂŞUNEANU - 153-166 Behavioral finance: new research trends, socionomics and investor emotions
by Adrian MITROI & Alexandru OPROIU
March 2014, Volume XXI, Issue 3(592)
- 1-2 The methodological cat
by Marin Dinu - 7-30 Assessment modalities of the Master Plan for the Romanian tourism development 2007-2026
by Aurelia-Felicia STĂNCIOIU & Andreea BOTOŞ & Nicolae TEODORESCU & Anamaria-Cătălina RADU & Ion PÂRGARU - 31-44 Frameworks for a sustainable development indicators system
by Camelia-Daniela HAŢEGAN & Clementina IVAN-UNGUREANU - 45-56 Sustainability of public co-financing of investment projects with EU financial assistance in Romania
by Anca DACHIN & Monica Gabriela GHERMAN - 57-66 Time series analysis in loan management information systems
by Julian VASILEV - 67-74 The impact of the image of the organization in terms of the online communication paradigm
by Diana Andreia HRISTACHE & Claudia Elena PAICU & Nilgün ISMAIL - 75-102 Why liquidity interventions are they optimal in the case of Morocco for financial stability?
by Abouch MOHAMED & Firano ZAKARIA & Abouch Mohamed AMINE - 103-114 Global European economic model
by Cristina BURGHELEA & Anda GHEORGHIU & Cristiana TINDECHE & Anca GHEORGHIU - 115-122 Evolutions and prospects in Romania’s economy
by Mihaela Daniela NICULESCU & Miron DUMITRESCU & Andrei Mihai CRISTEA & Oana Camelia IACOB - 123-132 Choosing the career path – An unemployment enhancer factor
by Ortansa FLOREA (MOISE)
February 2014, Volume XXI, Issue 2(591)
- 1-2 The consensus of the ideal
by Marin Dinu - 7-18 Sovereign wealth funds, catalyzers for global financial markets
by Vasile DEDU & Dan Costin NIȚESCU - 19-34 Manipulative marketing: persuasion and manipulation of the consumer through advertising
by Victor DANCIU - 35-66 Global financial crisis-driven mutations affecting the transmission mechanism customized to monetary policy strategies. A VAR, SVAR and BVAR approach
by Iulian Vasile POPESCU - 67-76 Examining Public Private Partnerships in ASEAN countries: the role of investment climate
by Chandra EMIRULLAH & Muhammad AZAM - 87-98 The financial auditor’s credibility in postcrisis economic policies
by Florin DOBRE & Adriana Florina POPA & Laura BRAD - 99-108 The implications of the economic crisis on public old age pension spending in European countries
by Marta Christina SUCIU & Ileana GURAN TEODORESCU