Content
2024, Issue 3
- 5-23 Environmental Performance and Economic Development: A Spatial Approach
by Bogdan DIMA & Lucian Liviu ALBU & Ştefana Maria DIMA - 24-64 Gender Diversity on Boards and Bank Efficiency Across Emerging Europe
by Alin Marius ANDRIEȘ & Bogdan CAPRARU & Antonio MINGUEZ-VERA & Simona NISTOR - 65-80 Volatility Transitions in European Stock Markets: A Clustering-Based Approach
by Iulia LUPU & Adina CRISTE & Anca Dana DRAGU & 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 & Liyan PAN - 102-119 Efficiency of Green Total Factor Production: Exploring Core Determinants
by Mingwen XU & Yang CHEN & Farhan ALI & Oleksii LYULYOV & 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 & 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 & 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 & Teodora Odett BREAZ - 179-196 Digitalization Meets Green Finance: Policy-Driven Transformation for Sustainable Tourism in Europe
by Yunfei JIANG & Yeyao WANG & Xinyu WANG & Lucia PALIU-POPA
2024, 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 & Andrei STĂNCULESCU - 32-49 Abstract Empowering Sustainable Human Development and Economic Growth: Evidence from Developing World
by Xin GUO & Haoran LIU & Sardar Fawad SALEEM & Radu Alexandru BUDU - 67-85 Cross-Country Evaluation of Financial Reporting and Governance Practices through Fuzzy C-Means and TOPSIS Algorithms
by Unal ERYILMAZ & Deniz KOCAK & Abdulkerim CALISKAN - 86-110 Can The Classical Economic Model Improve The Performance Of Deep Learning? A GDP Forecasting Example
by Taoxiong Liu & 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 & 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 & Alexandru STRATAN - 146-157 Linkage Between Pollution and Growth: The Role of Inequality
by Corina SÂMAN & Bianca PĂUNA & Alina Mirela STĂNICĂ
2023, Issue 4
- 5-24 The Effect of Bank Competition and Rural Banks on Wages: Evidence from Agricultural Firms
by Peisen LIU & Shiqi Chen & 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 & Camelia 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 & 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 & 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 & Zunaidah SULONG - 91-106 Impact of Government Subsidies on Enterprises' Technological Innovation Inputs and Outputs : Moderating Effect of Regional Innovation Capacity
by Qiuyue SUN & Lei LIU - 107-127 The Importance of Geopolitical Risk and Institutional Quality Indicators on Foreign Direct Investment to BRICS Countries
by Mumin Atalay CETİN & Ilker YAMAN - 128-142 The Relationship between Exchange Rates and Stock Prices : Comparative Example of ASEAN and BRICS Countries
by Rahman AYDIN & Anıl LÖGÜN & 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 & Zeynep ÇİMEN - 159-175 Inequality and the Environment: The Synergy or the Trade-off Effect
by Bianca PĂUNA & Corina SÂMAN
2023, Issue 3
- 5-16 Medium and Long Term Convergence in EU
by Lucian Liviu ALBU & Luminița CHIVU & Ada Cristina MARINESCU - 17-39 Modelling Generational Changes : USA as a Study Case
by Emilian Dobrescu - 40-61 Global Economic Policy Uncertainty and Energy Prices: A Markov-Switching VAR Approach
by Deniz AYTAÇ - 62-82 Impacts of Environmental Regulation on Corporate ESG Performance – Evidence from China
by Naiping Zhu & Siyi Zhang & Yueyong Zhou - 83-100 The Influence of Information Technologies and International Tourism on Trade
by Canh Phuc Nguyen & Binh Quang Nguyen & 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 & Ather Maqsood AHMED - 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 & 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 & Yensen Ni
2023, Issue 2
- 5-20 Global Value Chain Participation and Sustainable Growth: Evidence from China
by Huan YAN & Xiaojing LI & Shuang MENG - 21-35 Contagion Between Gold and other Commodity Goods using Bayesian Multivariate Quantile_On_Quantile Approach
by Hao Wen CHANG & Tsangyao CHANG & Yang-Cheng LU - 36-51 Heterogenous Effects of the Determinants of Pro-market Reforms: Panel Quantile Estimation for OECD Countries
by Salih BARIŞIK & Kubilay ERGEN - 52-71 Trade Liberalization and Real Sector Investment Decisions: A Panel Data Evidence from Selected Economies of Asia
by Umar FAROOQ - 72-91 Analysis on Liquidity Risk Management of Monetary and Financial Services based on the Goal of Financial Stability
by Xuanling MA & Meng JI - 92-103 Measuring the Impact of the US Presidential Elections on the Stock Market using Event Study Methodology
by Nenad TOMIĆ & Violeta TODOROVIC & Milena JAKSIĆ - 104-124 The Analysis of the Dynamic Relationships between Real Exchange Rates and Macroeconomic Variables in Selected Countries with Targeted Inflation: Evidence from Linear and Non-Linear ARDL Models
by Đorđe ĐUKIĆ & Mustafa ÖZER & Mališa ĐUKIĆ - 125-142 Asymmetric Effects of Exchange Rates on Energy Demand in E7 Countries: New Evidence from Multiple Thresholds Nonlinear ARDL Model
by Xiaohui GONG & Bisharat Hussain CHANG & Xi CHEN & Kaiyang ZHONG - 143-160 Ports Digitization - A Challenge for Sustainable Development
by Carmen GASPAROTTI & Glencora-Maria BENEC MINCU & Cristina NITU & Alina RAILEANU & Andra ȚURCANU (MARCU)
2023, Issue 1
- 5-24 Financial Risk Meter for The Romanian Stock Market
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) Employment Hazard of Highly Educated Individuals in Romania
by Daniela Emanuela DĂNĂCICĂ - 107-128 Impact of Seasonal Level Shift (SLS) on Time Series Forecasting
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 matter
by Van Bon NGUYEN
2022, 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
by Huihui WU & Chunpeng YANG
2022, Issue 3
- 5-30 Macroeconomic Measurement of Expectations versus Reality
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, Issue 2
- 5-28 The Nexus between Bank M&As and Financial Development
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
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
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 GÖMLEKSIZ2 & 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, Issue 1
- 5-25 Revisiting Limits and Pitfalls of QE in the Emerging Markets
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 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
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, Issue 4
- 5-38 Potential Output: A Market Conditionalities Interpretation
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 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 contact_cb@yahoo.com. & Simona STAMULE & Iulian Cornel LOLEA - 171-188 Bank Competition and Firm Innovation Output: The Role of Financing Constraints
by Peisen LIU & Yufeng XIA
2021, 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, 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, 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 WANG - 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, 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, 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 & Lucian Liviu ALBU & Marioara IORDAN & Sorin Dinu & Eugen BANCHEŞ & Ilie TURCU & Daniela DIACONU
2020, Issue 2
- 5-17 Estimates of Dynamics of the Covid19 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 Queries
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 via Toeplitz 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 Causal 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
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, Issue 1
- 5-21 A New Semiparametric Mirrored Historical Simulation Value-At-Risk Model
by Nikola RADIVOJEVIĆ & Luka FILIPOVI & 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 in the ASEAN-6 Countries
by Ngo Nu Dieu KHUE & Ya-Wen LAI - 134-150 Export Composition and the Eurozone Trade Balance in Manufacturing Goods
by Carlos A. CARRASCO & 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, 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 Restriction in Term Structure Model in the Context of an Emerging Market
by Wali ULLAH - 67-86 Asymmetric Price Transmission and Consumer Costs in the Taiwanese Rice Market
by Kuo-Wei CHOU & Po-Chun LIN - 87-99 Predicting Banks’ 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 - 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, 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 - 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, 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