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The Analysis Model of Correlation between GDP and its main Influence Factors

Author

Listed:
  • Constantin ANGHELACHE

    (Academia de Studii Economice, Bucuresti, Universitatea “Artifex” din Bucuresti)

  • Daniel DUMITRESCU

    (Academia de Studii Economice, Bucuresti)

  • Diana Valentina SOARE

    (Academia de Studii Economice, Bucuresti)

Abstract

This paper presents a proposition for an analysis model that is able to describe a correlation between the Gross Domestic Product and two significant influence factors, whose evolution, structure and characteristics have a major impact on the Romanian economy, the first measure of this impact being their influence on the main macroeconomic indicator – the GDP.

Suggested Citation

  • Constantin ANGHELACHE & Daniel DUMITRESCU & Diana Valentina SOARE, 2015. "The Analysis Model of Correlation between GDP and its main Influence Factors," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 63(11), pages 87-93, November.
  • Handle: RePEc:rsr:supplm:v:63:y:2015:i:11:p:87-93
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    1. repec:rau:journl:v:5:y:2011:i:2.1:p:492-499 is not listed on IDEAS
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    Cited by:

    1. Andreea -Ioana MARINESCU, 2017. "Econometric Model For The Analysis Of The Correlation Between The Inflation Rate And The Gross Domestic Product," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 65(12), pages 25-32, December.
    2. Madalina-Gabriela ANGHEL & Florin Paul Costel LILEA & Maria MIREA, 2017. "Analysis of the interdependence between GDP and Inflation," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 65(3), pages 148-155, March.

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