Content
December 2013, Volume XX, Issue Special II
- 132-140 Programul operaţional sectorial dezvoltarea resurselor umane (2007-2013) şi rolul acestuia în vederea obţinerii unei dezvoltări sustenabile a pieţei muncii în România
by Cătălin Daniel DUMITRICĂ & Dragoş DINCĂ - 141-150 Some implications of EU's sustainable growth strategy on European labour market
by Ovidiu FOLCUŢ & Ramona GRIGORE - 151-162 Responsabilitatea corporatistă faţă de salariaţi. Studiu asupra sectorului automotive european
by Cristina GĂNESCU - 163-183 Compatibilizarea ofertei educaţionale cu piaţa muncii - percepţia stakeholderilor
by Adriana GRIGORESCU & Luminiţa Mirela OLTEANU - 184-198 Europa, încotro?
by Rosemarie HAINEŞ - 199-210 Dinamica ocupării forţei de muncă sectoriale în regiunile din România şi ţările UE – principalele caracteristici şi tendinţe
by Marioara IORDAN & Mihaela-Nona CHILIAN & Ion GHIZDEANU & Radu LUPU & Dalina Maria ANDREI3 - 211-218 Contractul individual de muncă: mecanisme şi practici în unele state membre UE
by Corina Georgiana LAZĂR - 219-226 A comparison between knowledge based European cities indexes
by Víctor-Raúl LÓPEZ RUIZ & Domingo NEVADO PEÑA & José Luis ALFARO NAVARRO - 227-238 Conjoint analysis on job preferences of the Romanian youth
by Monica Mihaela MAER MATEI & Eliza-Olivia LUNGU & Cristina MOCANU & Ana-Maria ZAMFIR - 239-246 Demands and tendences on the current work market from Romania
by Nicu MARCU & Georgeta-Madalina MEGHISAN - 247-257 The impact of unemployment on the development of macroregions
by Aurel MARIN - 258-267 Quality of work - an essential condition for a successful labour market
by Luise MLADEN & Clasificare Codruta Ilinca DRĂGOIU - 268-275 A management information system supported on intangibles assets
by Domingo NEVADO PEÑA & Víctor-Raúl LÓPEZ RUIZ & Adriana GRIGORESCU - 276-287 Youth employment and measures to increase employability during the crisis
by Daniela PAŞNICU & Gabriela TUDOSE - 288-299 Indicatori ai performanţei forţei de muncă din industrie în context european
by Carmen Beatrice PĂUNA & Tiberiu DIACONESCU & Gabriela BILEVSKY - 300-311 Politica salarială şi creşterea economică în România. Abordare econometrică
by Elena PELINESCU - 312-322 Sustainability of pension and health care programs in the European Union
by John M. POLIMENI & Raluca I. IORGULESCU - 323-331 New aspects regarding the public wage system
by Radu Razvan POPESCU - 332-345 Politici de atragere a ISD pentru stimularea economiei. Cazul României şi al Irlandei
by Oana Cristina POPOVICI & Adrian Cantemir CĂLIN - 346-357 Modalităţi de a îmbunătăţi fluxurile de ISD în ţările din Europa Centrală şi de Est utilizând instrumentele politicii publice
by Oana Cristina POPOVICI & Adrian Cantemir CĂLIN - 358-365 Estimări şi prognoze în ocuparea forţei de muncă europene
by Andreea-Monica PREDONU - 366-377 Piaţa forţei de muncă in sectorul terţiar – realităţi şi perspective
by Cecilia Irina RABONTU & Aniela BALACESCU - 378-389 Innovation performance of Romania within UE in 2020
by Steliana SANDU & Adrian Bogdan CIOCANEL - 390-400 National labor market rigidities
by Luminiţa Leocadia SÂRBU - 401-405 Strategii financiar-fiscale specific actualei economii româneşti
by Titus SEREDIUC - 406-416 Aspects of the implementation of quality management systems in the hospitality industry in the context of sustainable development
by Anca Cristina STANCIU & Elena CONDREA & Cristina RACOCEANU - 417-429 An age and gender analysis of the minimum wage impact upon the Romanian labour market
by Larisa STANILA & Madalina Ecaterina POPESCU & Amalia CRISTESCU - 430-445 The FGB-LM model
by Massimiliano TANCIONI & Elton BEQIRAJ - 446-457 Creative graduate/creative employee – a big challenge for economics education
by Ada Mirela TOMESCU & Elena Aurelia BOTEZAT - 458-463 Promovarea participării tinerilor cu risc de marginalizare socială pe piaţa muncii
by Dan ŢOP - 464-473 Imbalances of labor market at national level
by Daniela TUDORACHE - 474-483 Alternative convenţionale pe piaţa muncii din România – contractul individual de muncă şi contractul zilierilor
by Aurelian Gabriel ULUITU - 484-490 Modelul social european: un concept de continuă actualitate
by Nicolae VOICULESCU & Maria Iuliana VOICULESCU
March 2013, Volume XX, Issue Special I
- 10-16 Investment Strategies Of Romanian Private Pension Funds
by Maria Luiza Moş & Liliana Donath & Victoria Şeulean - 17-29 An empirical analysis of the causality relationship between insurance and economic growth
by Ana-Maria Burcă & Ştefan Daniel Armeanu & Meral Kagitci - 30-37 Car Insurance – Engine For The Romanian Insurance Market
by Gherasim Solovestru Domide & Alexandru Domide - 38-51 Efficient Market Hypothesis In European Emerging Unit-Linked Insurance Markets
by Cristina Ciumaş & Diana-Maria Chiş - 52-60 Developments In The Insurance Industry In Europe In Economic And Financial Crisis
by Viorel Crăciuneanu - 61-73 Creation And Operationalization Of The National Reserve Fund In Case Of Natural Calamities In Romania – Alternative For Post-Disaster Financing Improvement
by Gabriel Arthur Zelinschi & Gherasim Solovestru Domide & Adriana Rodica (Năstase) Vîrban - 74-88 The Role Of International Financial Institutions (Ifis) And Export Credit Agencies (Ecas) In Supporting Cross Border Public Private Partnership (Ppp) In Emerging Markets: The Challenging Case Of The Icelandic Energy Sector
by Hilmar Þór Hilmarsson - 89-101 Optimal Management In The Context Of Corporate Governance
by Nora Chiriţă & Marcel Boloş & Ioana-Alexandra Bradea - 102-108 The Advantages, Disadvantages And Controversies Of Private Equity Funds
by Florin Mavris - 109-113 The Choices Between Fair Value And Historical Cost Accounting For Non-Current Real Assets At Latvian, Lithuanian And Estonian Listed Companies During The Reporting Year Of 2011
by Justine Jaunzeme - 114-130 The Impact Of Corporate Governance Measures On The Performance Of Enterprises
by Ilie Vasile & Lavinia Mihaela Guţu & Adina Ionela Străchinaru - 131-137 The Domestic And Foreign Investors Takeover Bid Decision: Case Of Romania
by Laura Brad & Radu Ciobanu & Anca Munteanu & Florin Dobre - 138-146 Changing Of Growth Paradigm: From Mergers And Acquisition To Balance Sheet Restructuring
by Angela Mitu & Dalina Dumitrescu - 147-163 Social Responsibility And Performance Of Financial Institutions
by Silvia Stănoiu - 164-167 Modelling the use of alternative channel allocation in granting benefits of social assistance
by Adrian Vintilescu Belciug & Lăcrămioara Corcheş & Daniela Creţu & Adriana Lupu - 168-179 Impact Of Public Debt On The Romanian Economy In Conditions Of Economic Crisis
by Mirela Anca Postole & Marilena Ciobănaşu - 180-196 Measuring The Dynamics Of Local Revenues Autonomy In Romania. An Analysis Of Several Financial Decentralization And Local Autonomy Indicators
by Tatiana Moşteanu & Maria Letiţia Brătulescu - 197-206 Some aspects regarding the state aid in Romania - Member State of European Union
by Daniela Lidia Roman - 207-212 Public Procurement Awards In Romania
by Attila Gyorgy - 213-220 Determinants Of Underground Economy In Eu Countries
by Eugenia Ramona Mara & Diana - Claudia Sabău-Popa - 221-225 The Inheritance Tax In Germany
by Robert Păiuşan & Valentin Ionuţ Panea - 226-239 Selected Determinants On Welfare Enhancement. A Theoretical And Empirical View
by Liliana Donath & Anca Brad (Gheorghioiu) - 240-249 Vulnerabilities Of The European Versus Romanian Tax System
by Rodica Gherghina & Georgiana Camelia Creţan - 250-264 Content Analysis Of An Exploratory Study Regarding The Communication Of Local Administration In Western Romania
by Florina Maria Bente & Corneliu Bente - 265-273 Some means of avoiding of international juridical double taxation used by Romania
by Daniela Lidia Roman - 274-289 Investigation On The Perception Of Quality Within European Economic Higher Education
by Emilia Câmpeanu & Viorica Chirilă & Georgiana Camelia Creţan - 290-298 Investigation of the profitability of moving average strategies on the Romanian stock market
by Olivia Andreea Baciu - 299-305 The Influence Of Financial Derivatives In Emerging Capital Markets
by Felicia Ramona Birău - 306-324 Adoption Model For Regulatory Of Financial Markets
by Mitică Pepi - 325-332 Rationality Versus Irrationality On The Romanian Capital Market
by Ion Stancu & Dumitra Stancu - 333-338 Leniency Policy For Competitive Activity
by Ilie Moga - 339-356 A Simulation Of Agent-Based Models For High Frequency Trading On The Stock Exchange Market
by Diana Dezsi - 357-372 Testing The Random Walk Hypothesis And The Long Memory For The Romanian Capital Market
by Ioana Sorina Mihuţ & Mihaela Lutas & Andreea Pece - 373-379 The Performance Of Roc On The Bse
by Dan Gabriel Anghel - 380-389 The Propagation Effects Of Financial Crisis On Ljubljana Stock Exchange
by Felicia Ramona Birău - 390-391 Main Results Of Analyses Undertaken On The Arbitrage Pricing Model
by Andrei Stănculescu - 392-399 Influence Of Regime Switching To Risk In Port-Modern Portfolio Management
by Cristina Geambaşu & Liviu Geambaşu & Iulia Jianu - 400-412 Market Timing And Selectivity Within Romanian Balanced Funds Industry
by Angela-Maria Filip & Maria Miruna Pochea & Mihaela-Daniela Morariu - 414-423 Is The Evolution Of The Exchange Rate Leu/Euro Still Influenced By The Shocks Of Interest Rate On Romanian Market?
by Gabriela Preda - 424-430 The Impact Of The Global Economic Crisis On Macroeconomic Aggregates In Brics Countries And Usa
by Jelena Tošković & Jasna Marković & Marija Gačić - 431-443 Romania On The Way Of Euro Adoption
by Ionuţ Dumitru & Ionela Jianu (Dumitru) - 444-454 The Regulation And Deregulation Of The Financial Markets – Current Tendencies And Perspectives In The Context Of Providing Financial Stability
by Isac Borş - 455-467 Early Warning Indicators Of Economic And Financial Instability Indexes
by Rodica Oana Ioniţă - 468-476 A Study Upon The Great Japanese Crisis
by Marius Ioan Mihuţ & Stanca Alexandra Pop - 477-488 The Long-Term Real Convergence Of Central And Eastern Europe Economies To The Euro Area –The Sigma And Beta Convergence
by Bogdan Andrei Dumitrescu - 489-504 Inflation Targeting And Financial Stability During The Financial Crisis
by Livia Maria Rotaru - 505-509 Competition: Classical Versus Neoclassical View
by Mihaela Cornelia Sandu - 510-519 On The Decline Of Middle Class As An Effect Of Globalization. Evidence From The Developed And Emergent Countries
by Monica Răileanu Szeles & Vlad Dumitrache - 520-529 Bridge Bank And Bad Bank Tools In Eu. An Efficiency Assessment Case Study
by Teodora Cristina Barbu & Iustina Alina Boitan - 530-537 Foreign Banks Appetite For Liquidity Risk And The Banking System Stability. Case Study For Romania
by Horaţiu Lovin - 538-548 Financial Contagion And Its Transmission Channels Between Piigs Economies
by Daniela Zapodeanu & Edina Kulcsar & Sorina Ioana Petriş - 549-556 Basel Iii - Issues And Implications For The Romanian Banking System
by Daniela Dandara - 557-562 Evaluating The Impact Of Banking Services Quality On Customer Loyalty In Credit Europe Bank (Romania)
by Corneliu Bente & Florina Maria Bente - 563-574 Banks Interest Rate Margins And Financial Deregulation In Mauritius
by Kheswar Jankee
December 2013, Volume XX, Issue 12(589)
- 1-2 After the transition
by Marin Dinu - 7-24 The impact of oil prices on sectoral returns: an empirical analysis from Borsa Istanbul
by Gaye GENCER & Sercan DEMIRALAY - 25-42 Aspects on the perception of young people regarding balneotherapy tourism in Romania
by Aurelia-Felicia STĂNCIOIU & Nicolae TEODORESCU & Ion PÂRGARU & Andreea BOTOȘ & Anamaria-Cătălina RADU - 43-56 Model of analysis of the correlation between the population and the labor force market
by Constantin ANGHELACHE & Alexandru MANOLE & Ligia PRODAN & Alexandru URSACHE - 57-66 Does convergence of incomes still exist among developed economies? Time series evidence in G7 countries
by Sakiru Adebola SOLARIN - 67-82 Analysis of the correlation between the evolution of the consumer loans and the evolution of household income in Romania
by Adrian MITROI & Alexandru OPROIU - 83-96 Exploring the determinants of the productivity of indian microfinance institutions
by Abdul RASHID & Koire TWAHA - 97-104 Fair value hedging, between opportunity and necessity
by Daniela SAHLIAN & Mihaela BOTEA & Daniela Livia TRAŞCĂ - 105-116 The VAT encashment system’s impact on return on invested capitals. Romania’s case
by Adriana Florina POPA & Florin DOBRE & Laura BRAD - 117-126 Regional dimension on competitiveness in the postcrisis period. Urban policy in Europe
by Margareta Stela FLORESCU - 127-138 Intangible assets as a source of competitiveness in the post-crisis economy. The role of brands
by Ana Maria DOBRE
November 2013, Volume XX, Issue 11(588)
- 1-2 The enlightenment of stability
by Marin Dinu - 7-24 Specific patterns in portfolio analysis
by Gabriela Victoria ANGHELACHE & Mădălina Gabriela ANGHEL - 25-40 A turnpike theorem involving a modified Golden Rule
by Darong DAI & Kunrong SHEN - 41-52 General aspects regarding the evolution of GDP in Romania
by Constantin ANGHELACHE & Alexandru MANOLE & Georgian ŞERBAN & Andreea Gabriela BALTAC & Adina Mihaela DINU - 53-72 Interday drifts in opening stock returns
by Andrey KUDRYAVTSEV - 73-82 Entrepreneurship among higher education graduates in 13 European countries
by Ana-Maria ZAMFIR & Eliza-Olivia LUNGU & Cristina MOCANU - 83-100 Innovative methods to analyze the stock market in Romania. Studying the volatility of the Romanian stock market with the ARCH and GARCH models using the “R” software
by Antoniade-Ciprian ALEXANDRU & Nicoleta CARAGEA & Ana-Maria DOBRE - 101-116 Anomalies on the capital markets from the former communist European countries
by Dragoş Ştefan OPREA - 117-126 Prerequisites for modeling price and return data series for the Bucharest Stock Exchange
by Andrei TINCA - 127-146 Between fiscal discipline and economic recovery. The solutions problem
by Anca Maria GHERMAN & George ŞTEFAN - 147-164 Origin of the product and the buying decision
by Cristina VEITH & Costin LIANU
October 2013, Volume XX, Issue 10(587)
- 1-2 The corrective austerity
by Marin Dinu - 5-22 The Balkan balneotherapy product – an approach from the destination marketing perspective
by Aurelia-Felicia STĂNCIOIU & Andreea BOTOȘ & Ion PÂRGARU - 23-32 A new vision on competitiveness within the post-crisis economy. Causes, evolutions and possible innovative solutions to fight against the undesirable effects of the economic crisis
by Laura Mariana CISMAŞ & Ruxandra Ioana PITORAC - 33-48 Estimating the size of Romanian shadow economy using Gutmann’s simple currency ratio approach
by Adriana Ana Maria DAVIDESCU - 49-64 Motivation of the public employee in Romania in the context of the economic crisis
by Amalia CRISTESCU & Larisa STANILĂ & Mădălina Ecaterina ANDREICA - 65-70 Urban revitalisation in the creative economy and the development of the creative society
by Mina FANEA-IVANOVICI - 71-78 Modeling the relationship between GDP and unemployment for Okun’s law specific to Pakistan during 1976-2010
by Muhammad Aamir KHAN & Abdul SABOOR & Sarfraz Ahmad MIAN & Aftab ANWAR - 79-96 Education for sustainability – a prerequisite for post-crisis economic competitiveness with possible inference for Romania
by Camelia Iuliana LUNGU - 97-110 Forecasting of the economic crisis using business cycles patterns
by Cristina VIŞAN & Dorel AILENEI - 111-126 The role of the human capital and investment in human capital within the sustainable socio-economic development. How labour force migration affects competitiveness?
by Liana SON & Graţiela Georgiana NOJA - 127-144 Costing systems design for sustainability
by Mihaela TURTUREA & Radu Dan TURCU
September 2013, Volume XX, Issue 9(586)
- 1-2 Underdevelopment's gravitation
by Marin Dinu - 7-26 The sustainable company: new challenges and strategies for more sustainability
by Victor DANCIU - 27-38 The impact of accounting information on managerial decisions – Empirical study conducted in the hospitality industry entities in Romania
by Sorin BRICIU & Carmen SCORŢE & Ioana MEŞTER - 39-50 Exchange rate volatility effects on export competitiveness. Romanian Case
by Anca GHERMAN & George ŞTEFAN & Adriana FILIP - 51-62 Do investors consider composite leading indicators? Time series evidence from emerging countries
by Mert TOPCU & Ulas UNLU - 63-72 Can Member States unlock the national competitiveness through export market share effects?
by Angela Cristina POPA & Călin CANTEMIR - 73-86 Innovation – a national priority, supported by the regional development agencies
by Elena ENACHE & Cristian MOROZAN - 87-102 Pros and cons of using derivatives
by Ramona GOGONCEA & Ioana-Diana PAUN - 103-114 Harmonization process in defining small and medium-sized enterprises. Arguments for a quantitative definition versus a qualitative one
by Maria-Mădălina BUCULESCU (COSTICĂ) - 115-126 Management strategies of the financial-economical crisis in the hotel’s domain
by Carmen IORDACHE - 127-144 Mathematics in economics. A perspective on necessity and sufficiency
by Silvia PALAȘCĂ - 145-167 Financial stability between liberalization and regulation
by Cristian IONESCU
August 2013, Volume XX, Issue 8(585)
- 1-2 Psychologized economicity
by Marin Dinu - 7-14 A regional model for labour demand in Romania
by Paul Costel ROTARU - 15-36 Romania’s accession to the Eurozone – a simulation using a simple DSGE model
by Mădălin VIZINIUC - 37-46 Occupational mobility networks of female and male higher education graduates
by Eliza-Olivia LUNGU & Ana-Maria ZAMFIR & Cristina MOCANU - 47-58 Creating competitive poles – the sustainable model for obtaining the competitive advantage
by Ramona-Mihaela MATEI - 59-68 Financial development and economic growth in Central and Eastern Europe
by Monica DUDIAN & Raluca Andreea POPA - 69-84 Neoclassical economic orthodoxy and the need for a new post-crisis economic paradigm
by Andrei JOSAN & Cristina (COVACI) VOICU - 85-92 Territorial analysis of discriminated groups
by Mihaela Hrisanta MOSORA - 91-106 The causal relationship between Foreign Direct Investment and Current Account: an empirical investigation for Pakistan economy
by Danish Ahmed SIDDIQUI & Mohsin Hasnain AHMAD & Muhammad ASIM - 107-116 Interdependence between labor market and unemployment in the post-crisis economy
by Sorina ENACHE - 117-124 The internet is changing our world
by Daniela VÎRJAN - 125-136 Improvement of labor flexibility in Romanian companies using practices in the field in some EU countries
by Ionuț CĂȘUNEANU - 137-147 International monetary system – between crisis and reform
by Ramona ORĂŞTEAN & Silvia MĂRGINEAN
July 2013, Volume XX, Issue 7(584)
- 1-2 Indirect determinism
by Marin Dinu - 7-26 Oltenia’s identity – A systemic approach of a tourism destination’s universe
by Aurelia-Felicia STĂNCIOIU & Nicolae TEODORESCU & Ion PÂRGARU & Andreea BOTOȘ & Anamaria-Cătălina RADU - 27-32 Perspectives of economics – behavioural economics
by Paula-Elena DIACON & Gabriel-Andrei DONICI & Liviu-George MAHA - 33-42 Business cycles synchronization in the European Union: truth or challenge?
by Cristina-Flavia TATOMIR & Oana Cristina POPOVICI - 43-58 Saving and economic growth: An empirical analysis for Euro area countries
by Elena-Adriana ANDREI & Cătălin-Emilian HUIDUMAC-PETRESCU - 59-76 Security of M-Commerce transactions
by Ion IVAN & Daniel MILODIN & Alin ZAMFIROIU - 77-86 A model for measuring value for money in professional sports
by Vlad ROŞCA - 87-94 The influence of modern epistemological streams. The case of epistemological anarchism
by Grigore Ioan PIROȘCĂ - 95-108 From a holistic approach of public policy to co-governance
by Luminiţa-Gabriela POPESCU - 109-118 Reference vectors in economic choice
by Teycir Abdelghani GOUCHA - 119-128 The economic and communication implications of tourism in Romania
by Claudia Elena PAICU & Diana Andreia HRISTACHE
June 2013, Volume XX, Issue 6(583)
- 1-2 The unanthropic context
by Marin Dinu - 7-34 Integrated marketing communication in tourism – an analysis. Case study: Muntenia and Oltenia
by Aurelia-Felicia STĂNCIOIU & Andreea BOTOŞ & Mihai ORZAN & Ion PÂRGARU & Octavian ARSENE - 35-52 Productivity change patterns in the Romanian banking system – the impact of size and ownership on total factor productivity
by Anca MUNTEANU & Petre BREZEANU & Leonardo BADEA - 53-60 Is there a difference between intrapreneurs and early-stage entrepreneurs in Romania?
by Annamária BENYOVSZKI & Ágnes NAGY & Tünde Petra PETRU - 61-76 Profit optimization during crisis periods
by Sorin BRICIU & Sorinel CĂPUȘNEANU & Andreea Elena CĂPRARIU - 77-98 Study on the perception of accounting professionals concerning intangible assets and intangible capital
by Cristina-Ionela FĂDUR & Marilena MIRONIUC - 99-118 The role of social factors in explaining crime
by Siti Nur Zahara HAMZAH & Evan LAU - 119-138 The metropolitan area as a knee-jerk response to the multilevel governance and its derived national public decisions
by Cătălin Daniel DUMITRICĂ & Ioana Teodora DINU - 139-148 Structural changes and productivity in the crisis period in Romania. The industry case
by Anca DACHIN & Felix-Constantin BURCEA
May 2013, Volume XX, Issue 5(582)
- 1-2 The natural foundation
by Marin Dinu - 7-14 Early warning models of financial distress. Case study of the Romanian firms listed on RASDAQ
by Mădălina Ecaterina ANDREICA - 15-26 Innovation: a path to competitiveness and economic growth. The case of CEE countries
by Ioan Radu PETRARIU & Robert BUMBAC & Radu CIOBANU - 27-32 Monetary autonomy under different exchange rate regimes in the long-run: the case of seven new EU countries
by Yu HSING - 33-52 The future of marketing: an appropriate response to the environment changes
by Victor DANCIU - 53-70 Education for sustainability – a prerequisite for post-crisis economic competitiveness with possible inference for Romania
by Camelia Iuliana LUNGU & Chirața CARAIANI & Cornelia DASCĂLU - 71-78 A regional model for labour demand in Romania
by Paul Costel ROTARU - 79-92 Robustness of public choice models of voting behavior
by Mihai UNGUREANU - 93-106 The evolution of sovereign wealth funds and their influence in the global economy. The case of China
by Ioana-Iulica MIHAI - 107-114 How does the labour’s market dynamic influence the level of the public pension in Romania in the actual economic context?
by Ioana BÎLBÎE - 115-124 The customers borrowing behavior during the financial crisis
by Alina LUCA (BRĂTUCU) - 125-134 Foreign direct investment and economic growth in Romania
by Camelia MORARU - 135-144 The image of the economic institutions in the context of global economy
by Laurențiu Gabriel FRÂNCU
April 2013, Volume XX, Issue 4(581)
- 1-3 The nomination of the market
by Marin Dinu - 5-24 The global crisis: Challenges to the banking system
by Ágnes NAGY & Annamária BENYOVSZKI - 25-32 Contributions to assessing the relative dimension of agglomeration theories
by Ion POHOAŢĂ & Raluca Irina CLIPA - 33-44 Hysteresis in unemployment: an empirical research for three member states of the European Union
by Chaido DRITSAK & Melina DRITSAKI - 45-62 Economics: the primary lesson to be taught and learned, as update
by Liviu C. ANDREI - 63-72 Need to implement corporate governance in the Romanian companies
by Sorin COSNEANU & Corneliu RUSSU & Vergina CHIRIŢESCU & Leonardo BADEA - 73-88 Aspects of labor market flexicurity in the Mediterranean and Anglo-Saxon models
by Alina Ştefania CHENIC (CREŢU) - 89-100 Impact of economic models on European Union economies development
by Cristina BURGHELEA & Corina Maria ENE & Carmen UZLĂU - 101-110 Cyclical convergence of Central and Eastern European countries to the Euro area core. New methodological approach
by Ileana ALEXE & Oana Cristina POPOVICI - 111-118 Models for the analysis of the labor market in Romania
by Gabriela TUDOSE & Lavinia Ştefania ŢOŢAN & Silvia Elena CRISTACHE
March 2013, Volume XX, Issue 3(580)
- 1-2 The sensitive symmetries
by Marin Dinu - 7-16 Sustainability of the public debt and the financial crisis
by Aura Gabriela SOCOL - 17-30 The lending channel and budget balance: empirical evidences from Central and Eastern European economies
by Bogdan-Gabriel MOINESCU - 31-52 Heterogeneous capital and consumption goods in a structurally generalized Uzawa’s model
by Wei-Bin ZHANG - 53-60 Differences between the nominal values of the gross domestic product and the provisional and semi-final variant
by Vergil VOINEAGU - 61-82 Forecasting the variance and return of Mexican financial series with symmetric GARCH models
by Fátima Irina VILLALBA PADILLA & Miguel FLORES-ORTEGA - 83-102 Meanings and spreading patterns of the “positive” concept in economic thought
by Angela ROGOJANU & George ŞERBAN-OPRESCU - 103-120 Implications of the single supervisory mechanism on ECB's functions and on credit institutions' activity
by Teodora Cristina BARBU & Iustina Alina BOITAN - 121-134 Analysing movements in investor’s risk aversion using the Heston volatility model
by Alexie ALUPOAIEI & Andrei HREBENCIUC & Ana-Maria SĂNDICĂ - 135-146 The labour market in the post-crisis economy: the case of Spain
by Mirela Ionela ACELEANU