Contact information of Centre of Financial and Monetary Research "Victor Slavescu"
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Content
June 2026, Volume 30, Issue 2
- 6-39 Exploring The Link Between Financial Knowledge, Risk Aversion, And Investment Preferences: A European Union Analysis
by UIFALEAN, Răzvan
- 40-51 Bank Lending To Non-Financial Corporations In Romania During 2016-2025
by RĂDULESCU, Andrei
- 52-88 The Inflation-Growth Nexus: A Systematic Review Of International Evidence
by KIMOLO, Deogratius & ODHIAMBO, Nicholas M. & NYASHA, Sheilla
- 89-107 Market Regimes And Portfolio Allocation: Evidence From The Romanian Equity Market Using Hidden Markov Models And Xgboost
by ANGHEL, Bogdan Ionut & MARINOV, Georgi & DONOIU, Paul Cristian
- 108-128 Hedging Ineffectiveness And Forward Market Underdevelopment In The Romanian Electricity Market, 2019–2025
by PITEȘ, Călin-Andrei
- 129-145 The First Annual Input-Output Series For The Republic Of Moldova Under The Caem Rev.2 / Nace Rev.2 Classification: Methodology And Structural Diagnostics
by TATARU, Andrian
- 146-165 Speculative Bubble Dynamics And Systemic Risk In Shadow Banking Institutions: Evidence From The United States And Europe
by CROICU, Andreea Elena
March 2026, Volume 30, Issue 1
- 6-25 Complementarities Between Loan Sales And Standby Letters Of Credit: A Theoretical Model
by GARGALAS, N. Vassilios & CORZO, G. Mario
- 26-49 Determinants Of Nonperforming Loans In Romania And Central, Eastern And Southeastern Europe
by COSTACHE, Cosmin Laurențiu
- 50-67 Explosive Price Dynamics In Global Reit Markets: Evidence From Developed Regions
by IANCU, Laura Andreea
- 68-89 A Comparative Analysis Of Macroeconomic Divergences Between Nordic And Anglo-Saxon Economies
by NICOLAE, Florin-Laurențiu & MACARI, Adelina & LAZĂR, Andreea-Geanina
- 90-109 Financial Risk Management In The Fiscal Policy Of The Republic Of Moldova: Challenges And Directions For Transformation
by PRUTEANU, Mariana
- 110-124 The Impact Of Geopolitical Crises On Fiscal And Budgetary Stability
by PAPAINOG, Maria-Teodora
December 2025, Volume 29, Issue 4
- 6-23 Capital Structure And Profitability Of Small Pharmaceutical Firms: Evidence From The Alternative Investment Market
by AKINOLA, Nurudeen & APPS, Rod
- 24-46 Development Of The Government Securities Market Of The Republic Of Moldova Through Increasing The Investment Attractiveness Of These Instruments
by HINCU, Rodica & LITOCENCO, Ana
- 47-65 Digital Transformation Of The Insurance Market: Challenges And Opportunities For Sustainable Development
by POSTOLACHE, Victoria
- 66-83 The Revenues From Taxation Of Household Capital In Eu Member States. Evolutions And Effects At The Macroeconomic Level
by MIHĂILĂ, Nicoleta
- 84-97 The Public Finances, Bank Credit, And Foreign Direct Investment: Evidence From European Union Countries
by CHIRILĂ, Ioan
- 98-129 Green Energy Stocks & Market Trends: An Overview Of Contemporary Literature
by TOPA, Răzvan
September 2025, Volume 29, Issue 3
June 2025, Volume 29, Issue 2
March 2025, Volume 29, Issue 1
December 2024, Volume 28, Issue 4
September 2024, Volume 28, Issue 3
June 2024, Volume 28, Issue 2
March 2024, Volume 28, Issue 1
December 2023, Volume 27, Issue 4
- 6-25 Assessment Of Foreign Currency Risk And Other Factors That Affect Civil Society Organizations Performance In Georgia
by KOPALEISHVILI, Teona & BERISHVILI, Vakhtang
- 26-45 Financial Literacy And Entrepreneurial Traits As Determinants Of The Small And Meduim-Scale Enterprises’ Profitability In Ogun State
by ADEYEMI, Adedayo Patrick & GBADAMOSI, Lasun M. & ADEYEMI, Muyiwa B.
- 46-59 Investigating The Influence Of The Shadow Economy On Non-Performing Loans In European Economies: A Panel Gmm Analysis
by CEPOI, Cosmin Octavian & DUMITRESCU, Bogdan Andrei & LEONIDA, Ionel
- 60-74 About Households' Wealth And The Effects Of Some Tax Measures That May Affect It
by MIHAILA, Nicoleta
- 75-87 Risks Induced By The Trend And Level Of Foreign Debt In Romania
by MILEA, Camelia
September 2023, Volume 27, Issue 3
- 6-24 Financial Literacy Of Young Black African Adults In Rural And Low-Income Areas In South Africa
by NDOU, Adam
- 25-39 Constant Correlation Model For Optimal Portfolio Formation And Expected Shortfall Risk Measurement: Empirical Evidence From Indonesian Stock Market
by DEVITA, Febrina & WILANDARI, Yuciana & MARUDDANI, Di Asih I
- 40-56 Investor Attention And Exchange Traded Fund Returns In South Africa: The Role Of Investors’ Internet Search Activity
by KUNJAL, Damien
- 57-70 Lending Decision, Sacco Size And Liquidity Of Farmers Based Deposit-Taking Saccos In Kenya
by GACHENGA, John Ndung’u & KINYARIRO, Dickson Kamau & WAMBU, Charles Kamau & MAINA, Justus Nderitu
June 2023, Volume 27, Issue 2
March 2023, Volume 27, Issue 1
December 2022, Volume 26, Issue 4
September 2022, Volume 26, Issue 3
June 2022, Volume 26, Issue 2
March 2022, Volume 26, Issue 1
December 2021, Volume 25, Issue 4
- 6-16 The Activity Of Victor Slavescu - Echoes From His Epoch
by LUPU, Iulia & CRISTE, Adina & CIUMARA, Tudor
- 17-33 Optimal Hedge Ratio In Turkish Stock Index Futures Market: A Deco-Fiaparch Approach
by ÇELİK, İsmail
- 34-70 The Microprudential Stress Testing For Banking System. A Study Case On Algerian Private Bank, Using Accounting Approach
by BOUCHETARA, Mehdi & EYIH, Sidi & HADJ SLIMANE KHEROUA, Hinde
- 71-87 Globalization, Tax Policy And Tax Havens. Some Critical Considerations
by MIHĂILĂ, Nicoleta
- 88-98 An Attempt To Design A Fiscal Profile Of The Romanian Tax System
by LEONIDA, Ionel
September 2021, Volume 25, Issue 3
June 2021, Volume 25, Issue 2
- 6-20 Role Of Early Warning Systems In Predicting The Stock Price Crisis: What We Learnt From Grasshopper And Ants Fable
by HABIBI, Reza
- 21-36 Impact Of Board Traits On Organisations’ Dividend Payout. Evidence From Pakistan
by KHAN, Adnan Ullah
- 37-49 Moderating Effect Of Sacco Size On The Nexus Between Governance Costs And Financial Soundness Of Deposit Taking Saccos In Nairobi City County, Kenya
by MAINA, Justus Nderitu & NDWIGA, Peter Musangi & KINYARIRO, Dickson Kamau
- 50-63 Reflections On The Consequences And Risks Of An Economy’S Indebtedness
by MILEA, Camelia
- 64-78 Implementing Quantitative Techniques In Assessing The Risk Attitudes
by DRAGHICI, Dalis Maria
- 79-102 Implementing Quantitative Techniques In Assessing The Risk Attitudes
by CIOCANEA, Bianca Cristina & PIÈšU, Ioan Cosmin & UNGUREANU, DragoÈ™ Mihai
March 2021, Volume 25, Issue 1
December 2020, Volume 24, Issue 4
- 6-28 The Effects Of Covid-19 Outbreak On Financial Markets
by CELIK, Ismail & YILMAZ, Tayfun & EMIR, Suleyman & SAK, Ahmet Furkan
- 29-40 Consequences Of Covid-19 On The International Trade In Goods And Services: Forecasts, Developments, Restrictions
by MILEA, Camelia
- 41-59 The Correlation Between Economic Indicators And Taiwan Stock Market €“ A Case Study Of Leading And Lagging Indicators
by YANG, Tzu-Yi
- 60-67 Performance Of Fiscal Measures In Rectifying Fiscal Imbalances In Saudi Arabia
by NASEEM, Sana
- 68-86 Assessment Of The Shadow Economy In The Republic Of Moldova: Theoretical Grounding And Practical Results Of The Input-Output Model
by CEBAN, Alexandru
September 2020, Volume 24, Issue 3
- 6-22 Empirical Analysis Of The Relationship Between Purchasing Managers Index And Bist Industrial Index Under Structural Breaks
by SAHIN, Emrah & GUNGOR, Selim & KARACA, Suleyman Serdar
- 23-40 Jordanian Banking System: Analysis Of Technical Efficiency And Performance
by TAHTAMOUNI, Abla S. & ALOMARI, Mohammad W. & BASHAYREH, Ala & ABDELHADI, Samer
- 41-50 A Financial Systemic Stress Index For Romania
by DRAGHIA, Andreea & STEFONI, Sorina Emanuela
- 51-65 Financial Innovation Practice, Sacco Size And Financial Sustainability Of Deposit Taking Saving And Credit Co-Operatives In Kenya
by MAINA, Justus Nderitu & KIAI, Richard Muthii & KYALO, Teresia Ngina
- 66-82 Capital Structure And Financial Performance: Case Study From Pakistan Pharmaceutical Sector
by REHAN, Muhammad & KARACA, Suleyman Serdar & ALVI, Jahanzaib
- 83-92 The Response Of Financial Market Indices To Covid-19 Pandemic
by SATTAR, Muhammad Atif & ARCILLA Jr., Felix E. & SATTAR, Muhammad Fahad
June 2020, Volume 24, Issue 2
- 6-18 Overview Of The National Bank Of Romania’S Role In The Last Century
by CRISTE, Adina & LUPU,Iulia
- 19-36 Can Bitcoin Be A Stable Investment?
by CELIK, Ismail
- 37-48 The Analysis Of Relationship Between Participation-30 Index In Turkey And Commodity Markets, National And International Indexes
by KEVSER, Mustafa & DOGAN, Mesut
- 49-63 Financial Perspectives Of Islamic Bank’S In Oman
by MOHAMMED, Shariq & ALAM, Mohammad Noor
- 64-90 Skill Gap Perceived Between Employers And Accounting Graduates In Ethiopia
by GETAHUN, Mohammed & MERSHA, Deresse
March 2020, Volume 24, Issue 1
December 2019, Volume 23, Issue 4
- 6-20 Consequences Of The Greek Economic Crisis On The Structure Of The Greek Banking System
by KARAFOLAS, Simeon
- 21-38 Development Of A Financial Model In A Business: The Case Of A Company In Plastics Industry
by JAKI, Alexander & AITSIDIS, Charalampos & PANAGIOTOPOULOS, Fotios & MADITINOS, Dimitrios
- 39-51 A Study On R&D Expenditure And Corporate Value Of Chinese High-Tech Industry
by CHEN, Guan-Chih & TSAO, Shuling
- 52-84 The Control Of Small Medium Banks Profitability Using Financial Modeling Approach Under Certainty And Uncertainty
by LIAPIS, J. Konstantinos & TRIGKAS, J. Sotirios
- 86-99 Ways Of Involving Central Bank In Supporting Economic Growth
by CRISTE, Adina
- 100-110 Romania'S Trade Relationship With The European Union In The Prospect Of Joining The Euro Area
by MILEA, Camelia
September 2019, Volume 23, Issue 3
- 6-20 Causal Relationship Between Bitcoin Price Volatility And Trading Volume: Rolling Window Approach
by YAMAK, Nebiye & YAMAK, Rahmi & SAMUT, Serkan
- 21-33 Is There A Rational Bubble In Bist 100 And Sector Indices?
by KIRKPINAR, Aysegul & ERER, Elif & ERER, Deniz
- 34-48 Systemic Risk: An Overview
by ZELDEA, Cristina Georgiana
- 49-65 The Nexus Between Financial Literacy And The Credit Status In Indonesia
by ISMANTO, Hadi & MUHARAM, Harjum & PANGESTUTI, Irene Rini Demi & WIDIASTUTI, Anna & ROFIQ, Fathur
- 66-78 Assessing The Determinants For The Adoption Of E-Banking Services: The Case Of Dashen Bank
by BIRBIRSA, Zerihun Ayenew & TEFERI, Ethiopia & HAILU, Tesfaye
June 2019, Volume 23, Issue 2
- 6-31 Prospects And Challenges Facing Frontier Stock Markets In The Western Balkans: Quo Vadis?
by STEFANOVA, St. Julia
- 37-55 Analysis Of The Relationship Between Tax Revenue And Gross Value Added In The Romanian Economy
by OGNERU, Victor
- 61-74 The Pension Formula In Romania €“ Inefficiencies And Possible Solutions
by DUMITRESCU, Bogdan-Andrei & DRAGHIA, Andreea Elena
- 75-96 Contagion Pattern Identification Through Minimum Spanning Trees During The Asian Financial Crisis
by MARICA, Vasile-George
- 97-113 Testing The Validity Of Fama French Five Factor Asset Pricing Model: Evidence From Turkey
by ZEREN, Feyyaz & YILMAZ, Tayfun & BELKE, Murat
- 116-129 The Impact Of Capital Market On The Economic Growth In Oman
by ALAM, Md. Shabbir & HUSSEIN, Muawya Ahmed
March 2019, Volume 23, Issue 1
December 2018, Volume 22, Issue 4
September 2018, Volume 22, Issue 3
- 6-22 Does Corporate Social Responsibility Lead To Superior Performance?
by LIU, Shu-Bing & KANG, Hsin-Hong & HSUEH, Shun-Jen
- 27-40 A Comparative Study Of The Volatility And Efficiency Of Commodity Futures Index Roll Methods
by AROSKAR, Rajarshi (Raj) & OGDEN, A. William
- 41-55 The Impact Of Investment Diversification On Financial Performance Of Commercial Banks In Ethiopia
by HAILU, Aregu Asmare & TASSEW, Abel Worku
- 56-65 The Incidence Of Insurance On Economic Growth In Italy, France, United Kingdom And Romania
by COSTACHE, Bianca
June 2018, Volume 22, Issue 2
2018, Volume 22, Issue 1
2017, Volume 21, Issue 4
- 6-26 A Note On The Relationship Linking Remittances And Financial Development In Pakistan
by KHURSHID, Adnan & KEDONG, Yin & CĂLIN, Adrian Cantemir & POPOVICI, Oana Cristina
- 27-45 The Effects Of Financial Risk Management On Firm’S Value: An Empirical Evidence From Borsa Istanbul Stock Exchange
by ŞENOL, Zekai & KARACA, Süleyman Serdar & ERDOĞAN, Seda
- 46-64 Special Tax Regimes In Taxing Small And Micro Business Activities: Theoretical Approaches And Patent Tax Experience
by TIMUŞ, Angela & IORDACHI, Victoria & COCIUG, Victoria
- 65-81 A Look At The Evolution And Characteristics Of The Romanian Foreign Debt Over The Past Years
by MILEA, Camelia
2017, Volume 21, Issue 3
- 6-18 Long Memory In Turkish Stock Market And Effects Of Central Banks’ Announcements
by ERER, Elif & ERER, Deniz
- 19-31 The Nexus Of Treasury Single Account Policy In Nigeria: An Exploratory Discourse
by BADEJO, Bamidele A. & OLUWASEYI, Adelowokan A. & TAIWO, Morenike R.
- 32-44 Did Manager Behave Overconfidently?
by RAHARJA, Bayu Sindhu & SUHAELI, Dahli & MRANANI, Muji
- 45-59 The Virtual Currency And Financial Blockchain Technology. Current Trends In Digital Finance
by MANTA, Otilia & POP, Napoleon
2017, Volume 21, Issue 2
2017, Volume 21, Issue 1
2016, Volume 20, Issue 4
2016, Volume 20, Issue 3
- 6-27 Does Economic Crisis Affect The Demand For Money: Evidence From Croatia?
by SVILOKOS, Tonći
- 28-38 Measuring Financial Systemic Stress In Romania: A Composite Indicator Approach
by NAGY, Ágnes & DÉZSI-BENYOVSZKI, Annamária & SZÉKELY, Imre
- 40-79 The Impact Of Corporate Governance On Cash Holdings: A Comparative Study Of The Manufacturing And Service Industry
by KHAN, Asad & BIBI, Memoona & TANVEER, Sarfaraz
- 80-94 Fractional Cointegration Analysis Of Stock Market And Exchange Rates: The Case Of Turkey
by ERER, Deniz & ERER, Elif & GÜLEÇ, Tuna Can
- 95-107 The Impact Of The Domestic And Foreign Macroeconomic News Announcements On The Turkish Stock Market
by GOK, Ibrahim Yasar & TOPUZ, Sefa
2016, Volume 20, Issue 2
2016, Volume 20, Issue 1
- 6-20 Analysis Of The Relationship Between Disclosure Quality And Dividend Payouts From The Agency Theory Perspective
by LIN, Dan & KUO, Hsien-Chang & WANG, Lie-Huey
- 21-36 Does Earnings Management Change After The Adoption Of The Ifrs? Evidence From Romania
by BRAD, Laura & CIOBANU, Radu & DOBRE, Florin
- 37-53 The Factors Affecting Credit Bubbles: The Case Of Turkey
by KORKMAZ, Özge & ERER, Elif & ERER, Deniz
- 54-68 Forecasting The Total Index Of Tehran Stock Exchange
by EMAMVERDI, Ghodratollah & KARIMI, Mohammad Sharif & KHAKIE, Sima & KARIMI, Mojtaba
- 69-89 Macroeconomic Determinants Of Stock Market Development: Evidence From Borsa Istanbul
by BAYAR, Yılmaz
- 90-106 Efficiency Of The Algerian Banks In The Post Liberalization Period
by HACINI, Ishaq & DAHOU, Khadra
2015, Volume 19, Issue 4
2015, Volume 19, Issue 3
2015, Volume 19, Issue 2