Content
Spring 2020, Volume XXVII, Issue 1(622), Spring
- 201-217 The Romanian population’s perceptions regarding income inequalities and discrimination
by Amalia CRISTESCU & Ana-Maria GATEA & Eva MILITARU
2019, Volume XXVI, Issue Special
- 7-18 Solvency capital requirements for a Romanian non-life insurer under Solvency II and Risk-Based Capital frameworks
by Aurora Elena DINA (MANOLACHE) - 19-26 Bancassurance between MiFID II and IDD
by Elda MARZAI (ABLIZ) - 27-38 Does the world need an international investment organization to battle climate change?
by Hilmar Þór HILMARSSON - 39-44 Defining the concept of risk applied in entrepreneurship. Conceptual delimitation risk – entrepreneurial uncertainty
by Andrei Alexandru TĂRĂBÎC & Gabriel MORAR - 45-52 Effects of changing the balancing formula of Romanian local budgets
by Attila GYÖRGY - 53-60 Inherent inefficiencies of the financial system in Romania
by Andrei STĂNCULESCU - 61-70 Determinants of public debt. The case of the European Union countries
by Bogdan Florin FILIP - 71-76 A discussion on basic investment alternatives
by Andrei STĂNCULESCU - 77-82 Economic growth and impact of social and economic factors in the Baltic States
by Cosmina-Ștefania CHIRICU - 83-94 The Nordic-Baltic region: European integration and security concerns
by Hilmar Þór HILMARSSON - 95-108 The competition between traditional power centers and emerging powers
by Ștefan Cătălin TOPLICEANU - 109-118 Lending evolution in Romania from the perspective of Prudential Regulations or how can the banking system be helped by financial crisis
by Maria Alexandra CRISTEA - 119-127 The financial performance of the companies from the oil sector. A comparative analysis
by Meral KAGITCI
Winter 2019, Volume XXVI, Issue 4(621), Winter
- 5-18 Expanding the Eurozone. The stage of economic convergence for Bulgaria, Czech Republic, Croatia, Hungary, Poland and Romania
by Iulian Nicolae VASILOIU - 19-34 Business R&D investments in the EU: Main dynamics and economic effects
by Mihaela DIACONU - 35-52 Volatility experience of major world stock markets
by M. MALLIKARJUNA & R. Prabhakara RAO - 53-62 Unemployment hysteresis analysis for OECD countries
by Muhammed TIRAŞOĞLU - 63-74 Culture as a driving factor for foreign direct investments in the Western Development Region of Romania
by Norbert FÖLDI - 75-84 A Deep Neural Network (DNN) based classification model in application to loan default prediction
by Selçuk BAYRACI & Orkun SUSUZ - 85-92 The new Keynesian Phillips Curve. Implications. Strengths and weaknesses
by Rareș-Petru MIHALACHE & Dumitru Alexandru BODISLAV - 93-110 Corporate ownership structure and performance: An enquiry into India
by Pradiptarathi PANDA & Jinesh PANCHALI - 111-128 Turkey’s macroeconomic policy challenges in the aftermath of the 2018 crisis: A sectoral financial balances analysis
by Sashi SIVRAMKRISHNA & Dhruva Teja NANDIPATI - 129-138 Main aspects on the nature of dynamic models
by Constantin ANGHELACHE & Dana Luiza GRIGORESCU & Oana BÎRSAN - 139-148 An analyses model of the Romanian privately managed pension system
by Dragoș Alexandru HAȘEGAN - 149-162 Dynamic models used in analysis capital and population
by Mădălina-Gabriela ANGHEL & Ștefan Virgil IACOB & Gabriel-Ștefan DUMBRAVĂ & Marius POPOVICI - 163-180 Poverty rate determinants in the Central and Eastern Europe member states
by Maria-Daniela TUDORACHE - 181-200 Wagner versus Keynesian Hypothesis: Role of aggregate and disaggregate expenditure in Pakistan
by Kashif MUNIR & Wajid ALI - 201-218 GARCH based VaR estimation: An empirical evidence from BRICS stock markets
by Siva Kiran GUPTHA. K & Prabhakar RAO. R - 219-240 Does FDI substitute exports of home country? A case of US FDI in select Asian economies
by Ketan C. LIMAYE & Achut P. PEDNEKAR - 241-264 Exploring the role of institutions in cross country Malmquist productivity analysis: A two-stage double bootstrap DEA approach
by Danish Ahmed SIDDIQUI & Qazi Masood AHMED - 265-272 Does the Mundell-Fleming Model apply to Poland?
by Yu HSING - 273-278 The validity of Okun’s Law: Evidences from Indian economy
by Tariq Ahmad BHAT & Tariq Ahmad LONE & Towseef Mohi Ud DIN
Autumn 2019, Volume XXVI, Issue 3(620), Autumn
- 5-20 The main factors of economic growth in the European Union
by Amalia CRISTESCU & Gabriela TÎLVĂR - 21-34 Currency risk management model
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL & Dana Luiza GRIGORESCU - 35-44 Assessing the performance of Pillar II in Romania – time weighted versus money weighted rate of return
by Bogdan Andrei DUMITRESCU & Andreea Elena DRAGHIA - 45-58 Does democracy increase total tax revenues? The case of selected OECD countries
by Günay ÖZCAN & İbrahim ÖZMEN - 59-70 An evaluation of the turnover tax system in South Africa
by Danie SCHUTTE & Danelle LABUSCHAGNE & Maria-Andrada GEORGESCU & Cornelia POP - 71-86 Sensitivity of bankruptcy prediction models to the change in econometric methods
by Bhanu Pratap SINGH & Alok Kumar MISHRA - 87-98 Risk management associated with the interbank relationships
by Cristian ANGHEL - 99-114 Challenging the status quo: Steel producer case study on the enterprise value for M&A
by Mădălina Viorica MANU & Ilie VASILE - 115-122 Innovation as imperative for increasing productivity and economic growth: The case of the selected EU member countries and non-EU member countries
by Lejla TERZIĆ - 123-134 International Financial Markets face to face with Artificial Intelligence and Digital Era
by Narcisa Roxana MOȘTEANU - 135-150 Determinants of domestic saving rate in Turkey: A new generation econometric analysis
by Ismet GOCER - 151-158 A behavioral model of failure in business
by Cristina Mariana ENE (VASILE) & Cosmin VIZINIUC & Alexandru TAŞNADI - 159-170 The effect of oil prices on foreign trade deficit in the economics of Bulgaria
by Nazife Özge BEŞER - 171-178 Relationship between mortality and financial crisis. The case of Greece
by Dimitrios DAPONTAS - 179-192 Profit management in the case of financial distress and global volatile market behaviour: Evidence from Borsa Istanbul Stock Exchange
by Tuğba KAYHAN & Temur KAYHAN & Engin YARBAŞI - 193-204 Insurance consumption in the Maghreb countries (Algeria, Morocco and Tunisia): Financial and institutional determinants
by Dalila BENZIANE & Qasim SHAH - 205-222 Non-linear finance-growth nexus for African countries: A panel smooth transition regression approach
by Mustapha JOBARTEH & Huseyin KAYA
Summer 2019, Volume XXVI, Issue 2(619), Summer
- 5-20 The education and training. Priorities of the European Union
by Constantin ANGHELACHE & Gabriela Victoria ANGHELACHE & Mădălina Gabriela ANGHEL - 21-46 Posted offers in exogenous networks: A theoretical application and experimental results
by Lisa BREGER & Andrea SORENSEN - 47-62 The role of Japan in the development of emerging markets in Asia. Key lessons learned for China
by Ionela VOINEA - 63-78 Empirical examination of the stability of expectations – Augmented Phillips Curve for developing and developed countries
by Yhlas SOVBETOV & Muhittin KAPLAN - 79-90 The causality between economic growth and stock market in developing and developed countries: Toda-Yamamoto approach
by Bilgehan TEKIN & Erol YENER - 91-104 Government failure vs. Market failure. The implications of incomplete information
by Rareș Petru MIHALACHE & Dumitru Alexandru BODISLAV - 105-120 Foreign direct investment and total factor productivity in South Asia
by Zaira ADNAN & Mamta CHOWDHURY & Girijasankar MALLIK - 121-138 The effects of political and financial risks on foreign direct investments to the MENAT countries
by Feyza BALAN - 139-148 Exploring the nexus between macroeconomic variables and stock market returns in Germany: An ARDL Co-integration approach
by Riadh El ABED & Amna ZARDOUB - 149-156 Income inequalities and economic convergence in CEE countries
by Tamara NAE - 157-172 Exchange rate regimes and its impact on growth: An empirical analysis of BRICS countries
by Babu Rao G. - 173-184 Dynamics of business cycle and long-term economic growth of Pakistan
by Usama Ehsan KHAN & Syed Monis JAWED - 185-204 Per capita gross domestic product and welfare of Gabonese households: A VAR model with exogenous hypothesis
by Giscard ASSOUMOU-ELLA - 205-216 Co-integration with regime shift between government expenditure and poverty reduction in Algeria
by Hicham AYAD - 217-259 Trade in a two sector endogenous growth model with two accumulating factors
by Birgit KIRSCHBAUM-BEHL - 261-276 What discriminates the welfare outcomes of children in India. A multiple discriminant analysis in selected states
by Atul MEHTA & Joysankar BHATTACHARYA
Spring 2019, Volume XXVI, Issue 1(618), Spring
- 5-22 Why do high ability people also suffer from money illusion? Experimental evidence of behavioral contradiction
by Mariko SHIMIZU - 23-36 Macroeconomic stability of new member states of the European Union: Fifth enlargement
by Sanel RAZIĆ & Merim KASUMOVIĆ - 37-50 The global context of economic crises and cohesion funds in the EU
by Andrei GIURESCU - 51-60 Is real depreciation or more government deficit expansionary? The case of Macedonia
by Yu HSING - 61-72 Models and theories in a frictions and wage rigidities labor market
by Cristian MARINESCU & Dumitru Alexandru BODISLAV - 73-88 Human capital and the FDI-Income inequality nexus in African countries: Panel smooth transition regression approach
by Kouassi YEBOUA - 89-114 Are institutions a crucial determinant of cross country economic efficiency? A two-stage double bootstrap data envelopment analysis
by Danish Ahmed SIDDIQUI & Qazi Masood AHMED - 115-128 The relationship between unemployment and some macroeconomic variables: Empirical evidence from India
by Malayaranjan SAHOO & Jayantee SAHOO - 129-150 Inequity in health care sector in India: A case study of district level in four Indian states
by Brijesh C. PUROHIT - 151-158 Performance in public administration: Doing outside the box under the rule of procedures
by Adelina DUMITRESCU PECULEA - 159-168 Trade effects based on general equilibrium
by Baoping GUO - 169-182 Empirically testing Keynesian defense burden hypothesis, nonlinear hypothesis, and spillover hypothesis: Evidence from Asian countries
by Qurat Ul AIN & Syed Imran RAIS & Syed Tahir Hussain SHAH & Khalid ZAMAN & Shakira EJAZ & Abdul MANSOOR
2018, Volume XXV, Issue Special
- 7-14 Review of effects of economic reforms on economic development of the countries in transition
by Jelena TOSKOVIC & Jovana KISIN - 15-30 Iceland and its participation in European economic integration: advantages and disadvantages of European Union and Euro Area membership
by Hilmar Þór HILMARSSON - 31-44 The role of fiscal policies in maintaining macroeconomic stability. A DSGE model approach
by George PASMANGIU - 45-48 A new approach to corporate governance
by Andrei Stănculescu - 49-60 Bancassurance – one of the most important distribution channels in Europe
by Elda MARZAI (ABLIZ) - 61-72 Comparative Assessment of Risk-Based Capital, Solvency II and Swiss Solvency Test
by Aurora Elena DINA (MANOLACHE) - 73-90 Redesigning Optimal Mechanisms in Social Assistance
by Cosmin SERBANESCU & Adrian VINTILESCU & Lacramioara CORCHES - 91-112 How do unemployment benefits and minimum wage affect poverty?
by Cristina Irina PARASCHIV - 113-120 The economic impact of indirect taxes on economic growth in European context
by Chiricu Cosmina-Ștefania - 121-134 The impact of government health and education expenditure on income inequality in European Union
by Ionuț JIANU - 135-146 Determinants of fiscal discipline in Romania – the IMF and the EU
by Sandina Maria JELOAICA - 147-162 Impact of the Volatility of Indian oil prices on sectoral returns in Indian Equity Markets
by Rinku JAIN & Kirti AREKAR & Aayesha TAHERAH - 163-174 Evolution of the main macroeconomic indicators as a result of Romania's integration into the EU
by Ana-Maria URÎȚESCU - 175-196 A direct measurement of corporate financial constraints of SMEs and large firms in Mauritius. A firm level survey analysis
by Chakeel PRAYAGSING & Kheswar JANKEE - 197-208 Political connection and allocation of capital in the corporate sector in Mauritius. A game approach (theoretical relationship)
by Chakeel PRAYAGSING & Kheswar JANKEE - 209-217 A game of bank resolution
by Gabriel MITRACHE
Winter 2018, Volume XXV, Issue 4(617), Winter
- 5-24 Origin and continuity in spatial development: The case of Romania
by Ion POHOAȚĂ & Raluca CLIPA & Delia-Elena DIACONAȘU - 25-38 Study of population by domicile and residence. Natural movement and imbalances
by Constantin ANGHELACHE & Cristian Marian BARBU & Mădălina Gabriela ANGHEL & Sorinel CĂPUȘNEANU - 39-50 Romanian branded hotels: are they worth the effort?
by Cornelia POP & Monica-Maria COROS & Maria-Andrada GEORGESCU & Maria BONEA - 51-66 Biracial Asian and white: Demographic and labor market status
by Linus YAMANE - 67-96 Institutionalized social technologies index: A global perspective
by Danish Ahmed SIDDIQUI & Qazi Masood AHMED - 97-120 Sustainability and efficiency of microfinance institutions in South Asia
by Brijesh C. PUROHIT & S. SARAVANAN - 121-134 A revisited causality analysis of Okun’s Law: The case of Turkey
by Ugur Korkut PATA & Suleyman YURTKURAN & Adem KALCA - 135-144 Causality between foreign direct investments and exports in India
by Abraham BABU - 145-154 Structural budget balance and fiscal policy stance in Tunisia
by Wissem KHANFIR - 155-168 Price transmission for natural rubber: India integration with world markets
by T.G. Saji - 169-178 Tax smoothing hypothesis: The Tunisian case
by Samia OMRANE BELGUITH & Foued Badr GABSI & Ameni MTIBAA - 179-204 The importance of efficiency for life insurer profit: A study of Canadian life insurance companies
by William WISE - 205-220 Does financial sector affect economic development in ASEAN during 2010-2016?
by Novelia SUSANTI & Didik SUSETYO & Dr. AZWARDI - 221-234 Do remittances really attract foreign direct investments? Evidence from panel cointegration
by Mercy Laita PALAMULENI - 235-252 The effect of credit default swap premiums on developing markets’ economies: The case of exchange rates
by Yunus AÇCI & Selim KAYHAN & Tayfur BAYAT
Autumn 2018, Volume XXV, Issue 3(616), Autumn
- 5-24 Private brand – differentiating concept and source of stimulation of the Romanian retail trade
by Ion ANGHEL & Anca Maria HRISTEA - 25-48 Macroeconomic determinants of the labour share of income: Evidence from OECD economies
by Ivan D. TROFIMOV & Nazaria Md. ARIS & Muhammad Khairil Firdaus Bin ROSLI - 49-60 Analysis of the investments made on the Romanian capital market by the privately managed pension funds – Pillar II
by Alexandra DARMAZ-GUZUN - 61-76 Exchange rate pass-through to macroeconomic indicators using Vector Auto Regression: Empirical evidence from Pakistan
by Farhan AHMED & Muhammad OWAIS & Sandhya KUMARI & Rohit RAJJANI - 77-90 Analysis of the educational activity in Romania
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL - 91-100 Macroeconomic variables and stock prices in emerging economies: A panel analysis
by Raghutla CHANDRASHEKAR & P. SAKTHIVEL & T. SAMPATH & Krishna Reddy CHITTEDI - 101-112 Consumerism and exclusion in a throw-away culture
by Alexandru TAŞNADI & Iustin Emanuel ALEXANDRU & Gheorghe USTINESCU & Petru Ciprian BRADU - 113-134 The effects of microeconomic factors on the stock market: A panel for the stock exchange in Istanbul ARDL analysis
by Khatereh SADEGHZADEH - 135-144 Return, shock and volatility spillovers between the bond markets of Turkey and developed countries
by Selçuk BAYRACI - 145-152 Causal relationship between internet use and economic development for selected Central Asian economies
by Fuat SEKMEN & Hasmet GOKIRMAK - 153-168 Financial sector development and the poor in developing countries: revisiting the access to finance channel
by Atul MEHTA & Joysankar BHATTACHARYA - 169-178 Impact of unbalanced economic growth to dynamic trade specialization
by Putri AYU & Maizul RAHMIZAL & IRWANDI - 179-186 Base erosion and profit shifting in multinational corporations
by Vedang Ratan VATSA
Summer 2018, Volume XXV, Issue 2(615), Summer
- 5-26 Studying banking performance from an accounting perspective: Evidence from Europe
by Maria Carmen HUIAN & Marilena MIRONIUC & Oana Iuliana MIHAI - 27-50 Corruption, governments’ debts, trade, and global growth
by Wei-Bin ZHANG - 51-68 Innovation – trends and patterns at Romanian firms
by Mihaela DIACONU - 69-104 How to build an economy free of recession and stagnation: results from a multi-commodity macro model
by Samuel MENG - 105-118 Analyzing the employment rate of the population, unemployment and vacancies in the economy
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL & Ștefan Gabriel DUMBRAVĂ & Lucian ENE - 119-132 An implicit model of adjustment costs in differential input demand systems
by Gülcan ÖNEL - 133-148 Diversity and proportionality, challenges or opportunities for the European banking sector?
by Dan Costin NIȚESCU - 149-162 A competitive economy as the path to future prosperity: Comparative analysis of selected European countries
by Lejla TERZIĆ - 163-186 Studying the political economy of reforms: The Greek case, 2010-2017
by Dimitris P. SKALKOS - 187-194 Analysis of the evolution of the number of pensioners and pensions in Romania
by Mădălina Gabriela ANGHEL & Constantin ANGHELACHE - 195-204 Inflation unemployment dynamics in Hungary – A structured cointegration and vector error correction model approach
by Vijay VICTOR & Maria FEKETE FARKAS & Florence JEESON - 205-220 Are defence expenditures the reasons of foreign debts in Turkey?
by Serap BARIŞ - 221-230 Exports, imports and economic growth in India: Evidence from cointegration and causality analysis
by Raju GUNTUKULA - 231-246 The role of economic growth and energy consumption on CO2 emissions in E7 countries
by Buhari DOĞAN & Osman DEĞER - 247-254 Which comes first – savings or growth? Time series evidence from ECOWAS countries
by Yaya KEHO
Spring 2018, Volume XXV, Issue 1(614), Spring
- 5-14 Political economy map – A useful tool for public policy decision makers
by Claudiu DOLTU - 15-30 Macroeconomic uncertainty and FDI in developing countries
by Pradeep Kumar DAS - 31-40 Impact of foreign direct investment inflows on tax revenues in OECD countries: A panel cointegration and causality analysis
by Yilmaz BAYAR & Omer Faruk OZTURK - 41-54 Macroprudential stability indicators of financial systems: Analysis of Bosnia and Herzegovina and Croatia
by Merim KASUMOVIĆ & Mirna MEŠIĆ - 55-72 Does exchange rate always affect the number of inbound tourists significantly in China?
by Xue GAO & Hsu-Ling CHANG & Chi-Wei SU - 73-94 The effects of Turkish-Russian political relations on bilateral trade balance: Cointegration and causal analysis
by Abidin ÖNCEL & Liudmila LIAPINA - 95-112 The relationship between financial deepening and economic growth: Bootstrap causality approach for the selected upper middle income countries
by Mesut Alper GEZER - 113-124 Financial development, trade openness and growth in India
by Raghutla CHANDRASHEKAR & T. SAMPATH & Krishna Reddy CHITTEDI - 125-136 The impact of carbon dioxide (CO2) emissions on tourism: Does the source of emission matter?
by Can Tansel TUGCU & Mert TOPCU - 137-166 Effect of exchange rate policy on GDP and GDP components: The Kyrgyz Republic Case
by Fuat SEKMEN & Nurbek MADMAROV - 167-182 Dynamic linkages between corruption, economic growth, and income inequality in Pakistan: Say ‘No’ to corruption
by Sheraz Ahmad CHOUDHARY & Khalid Zaman & Shakira EJAZ - 183-192 Impact of defence expenditures on external debt: An econometric analysis for Turkey and Turkic Republics
by Kadir KARAGÖZ
2017, Volume XXIV, Issue Special
- 7-16 Financing medical services in Romania’s health system
by Tatiana BOGDAN - 17-26 The relationship between sales value, salary expenses and corporate social responsibility in the Romanian pharmaceutical sector
by Constantin Lucian VÎLCU - 27-36 Comparative analysis of evaluation models in insurance solvency
by Costin Andrei ISTRATE - 37-46 Determinants of effective corporate tax rate. Empirical evidence from listed companies in Eastern European Stock Exchanges
by Georgeta VINTILĂ & Radu Alin PĂUNESCU & Ştefan Cristian GHERGHINA - 47-56 Conservatism, corporate governance and audit quality: A study at Istanbul Stock Exchange
by Yusuf GOR & Rifat KARAKUS & Izzet TASAR - 57-64 Rentability and risk in trading financial titles on the Romanian capital market
by Nicolae BALTEȘ & Alexandra-Gabriela-Maria DRAGOE - 65-76 Social assistance efficiency in Romanian labor market context
by Cosmin SERBANESCU & Adrian VINTILESCU-BELCIUG - 77-82 How much is the listed enterprise worth? The price multipliers’ approach
by Madalina Viorica ION (MANU) & Ilie VASILE - 83-94 Digital innovation the new paradigm for financial services industry
by Vlad BRĂTĂŞANU - 95-106 Determine the most important of the early guidance indicators about banks continuation or their financial failure from the point of view of the external auditor by using factor analysis. Case study in a sample of serviced offices of external audit in Iraq
by Fedaa Abd Almajid SABBAR ALARAJI & Fadel Hamid HADI ALHUSSEINI & Jawad KADHIM SHLAKA & Zaid Yaseen Saud AL-DULAIMI & Latif ATIYAH - 106-114 The influence of VAT on prices and inflation rate. Romania case
by Cristina VLAD & Birol IBADULA & Claudiu IONIȚĂ & Petre BREZEANU - 115-134 The role of education in poverty alleviation
by Cristina Irina PARASCHIV
Winter 2017, Volume XXIV, Issue 4(613), Winter
- 5-24 The financial stability index – An insight into the financial and economic conditions of Romania
by Claudiu Mihail MANOLESCU & Elena MANOLESCU - 25-32 The strategy for reducing unemployment. Employment in the European Union
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL - 33-42 Economic value of portfolio diversification: Evidence from international multi-asset portfolios
by Prateek SHARMA - 43-52 Inflation convergence among the next eleven economies: Evidence from asymmetric nonlinear unit root test
by Aycan HEPSAG - 53-64 Bitcoin as digital money: Its growth and future sustainability
by Pradipta Kumar SAHOO - 65-74 Target P/E ratio determinants in the Turkish Stock Market: Earning volatility effect
by Halil ARSLAN & Yuksel ILTAS & Temur KAYHAN - 75-88 Wavelets based multiscale analysis of select global equity returns
by Avishek BHANDARI - 89-96 The cost to have a healthy population – The European Union's strategy
by Mădălina Gabriela ANGHEL & Constantin ANGHELACHE - 97-108 The relationship between oil and stock prices: The case of developing and developed countries
by Gülfen TUNA & Nazire GÖLEÇ & Vedat Ender TUNA - 109-120 Macroeconomic determinants of income inequality in India and Pakistan
by Kashif MUNIR & Maryam SULTAN - 121-136 Urbanisation and inequalities in China and India. Overview and comparative study
by Moinak MAITI - 137-160 Examination of the exchange rate and interest rate channels of the monetary transmission mechanism during the inflation targeting: Turkey and Mexico countries examples
by Musa ATGÜR & N. Oğuzhan ALTAY - 161-168 Macroeconomic determinants of public debt growth: A case study for Tunisia
by Samia OMRANE BELGUITH & Hanen OMRANE - 169-190 Dynamic regime switching behaviour between cash and futures market: A case of interest rates in India
by Pradiptarathi PANDA & Malabika DEO & Jyothi CHITTINENI
Autumn 2017, Volume XXIV, Issue 3(612), Autumn
- 5-18 The European Union's strategy for increasing the living conditions of the population in the member states
by Constantin ANGHELACHE & Mădălina Gabriela ANGHEL - 19-28 Does institutional environment affect the economic development? Evidence from selected CEE countries
by Lejla TERZIĆ - 29-38 Causality between economic policy uncertainty and exchange rate in China with considering quantile differences
by Yin DAI & Jing-wen ZHANG & Xiu-zhen YU & Xin LI - 39-50 An agency theory approach on Romanian listed companies’ capital structure
by Liviu-Adrian ȚAGA - 51-62 What impact has free trade area on economies of ASEAN-5 countries?
by Abidin ÖNCEL & Raisal Fahrozi LUBİS - 63-70 Is more government debt or currency depreciation expansionary? The case of Poland
by Yu HSING - 71-82 Long-memory, self-similarity and scaling of the long-term government bond yields: Evidence from Turkey and the USA
by Selçuk BAYRACI - 83-96 Hard currency inflows and sterilization policy in Algeria: An ARDL approach
by Aissa DJEDAIET & Hicham AYAD - 97-114 Evaluating Indian economy’s vulnerability to currency crisis
by Mohana Rao BALAGA & Puja PADHI - 115-124 Impact of fiscal responsibility legislations on state finances in India
by Suraj BADAIK - 125-146 Does fiscal policy spur economic growth? Empirical evidence from Algeria
by Amal MATALLAH & Amal MATALLAH - 147-172 Financial conditions index (FCI), inflation and growth: Some evidence
by Manamani SAHOO - 173-192 On the effects of total productivity growth of economic freedom and total resource rents: The case of both natural resource rich and OECD countries
by Veysel ULUSOY & Cumhur TAŞ
Summer 2017, Volume XXIV, Issue 2(611), Summer
- 5-20 The role of fiscal policy in the financial crisis. Challenges and solutions
by Aura Gabriela SOCOL & Roxana Mirela FERARU - 21-32 Using the input-output model in macroeconomic analysis and forecasting studies
by Constantin ANGHELACHE & Alexandru MANOLE & Mădălina-Gabriela ANGHEL - 33-44 Panel causality analysis between exchange rates and stock indexes for fragile five
by Mehmet PEKKAYA & Ersin AÇIKGÖZ & Veli YILANCI - 45-60 Modeling of stock indices with HMM-SV models
by E.B. Nkemnole & J.T. Wulu - 61-74 The impact of private sector credit on income inequalities in European Union (15 member states)
by Ionuţ JIANU - 75-98 Economic freedom, economic growth and international tourism for post-communist (transition) countries: A panel causality analysis
by Ceyhun Can OZCAN & Murat ASLAN & Saban NAZLIOGLU - 99-110 The main correlations between the monetary-banking indicators
by Mădălina-Gabriela ANGHEL & Constantin ANGHELACHE & Ana CARP - 111-130 Impact of governance on budget deficit in developing countries
by Salih BARIŞIK & Abdullah BARIS - 131-146 Private equity market developments in central and Eastern Europe
by Mihaela DIACONU - 147-160 Public-Private Partnerships for clean energy investment in developing and emerging economies: Allocating risks and sharing rewards
by Hilmar Þór HILMARSSON
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