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  PAPERS IN MAJOR JOURNALS*
* we designate as major journals those journals that were, in at least one year, placed in the Tilburg University list of leading journals in the fields of Econometrics, Economics and Finance or ranked in the first half of the UEFISCDI RIS-based ranking of journals, in a relevant Web of Science category.

·   Farkas, W, E. Gourier, R. Huitema, and C. Necula:, 2017,A Two-Factor Cointegrated Commodity Price Model with an Application to Spread Option Pricing,” Journal of Banking & Finance, 77, 249-268

·   Bobeica E., P. Esteves, A. Rua, K. Staehr, 2016, "Exports and domestic demand pressure: a dynamic panel data model for the euro area countries," Review of World Economics, 152(1), 107-125

·   Negrea B., 2014, „A Statistical Measure of Financial Crises Magnitude”, Physica A: Statistical Mechanics and its Applications, vol. 397

·   Necula C., A-N Radu, 2012, “Quantifying the Recapitalization Fund Premium using Option Pricing Techniques”, Economics Letters, 114, 3

·   Dumitru I., I. Jianu, 2009, „The Balassa-Samuelson Effect in Romania - The Role of Regulated Prices”, European Journal of Operational Research, 194, 3,  873-887

·   Jurczenko E., Maillet B., Negrea B., 2004, “A Note on Skewness and Kurtosis Adjusted Option Pricing Models under the Martingale Restriction”, Quantitative Finance, vol.4


  OTHER PAPERS IN HIGH-VISIBILITY JOURNALS*
* we designate as high-visibility journals those journals (not already in the list of major journals) that are placed, in at least one relevant Web of Science category, in the third quarter of the UEFISCDI RIS-based ranking of journals or that have achieved in at least one year a RIS score above 0.25 and whose RIS scores are currently above 0.10.

·   Jakubik, P., B. Moinescu, 2015, “Assessing Optimal Credit Growth for an Emerging Banking System”, Economic Systems, 39, 4, 577-591

·   Bojesteanu E., G. Bobeica, 2011, “The propagation of European monetary policy shocks into Romania's economy," Applied Economics Letters, 18: 461-5


  OTHER SELECTED PAPERS IN ISI-INDEXED JOURNALS

·   Altar M., A.M. Cazacu, 2016, “Testing Self-selection and Learning by Exporting Hypotheses. The Case of Romania”, Economic Computation and Economic Cybernetics Studies and Research, 50, 1, 5-22

·   Altar M., A.A. Cramer, A-N Altar-Samuel, 2015, “Sovereign Financial Asset Market Linkages across Europe during the Euro Zone Debt Crisis”, Romanian Journal of Economic Forecasting, 18, 4, 29-49

·   Altar M., A. Ifrim, A-N Altar-Samuel, 2015, “Eastern Europe in the World Economy: A Global VAR Analysis”, Romanian Journal of Economic Forecasting, 18, 3, 5-26

·   Moinescu, B., A. Costea, 2015, Towards an early-warning system of distressed non-banking financial institutions, Economic Computation and Economic Cybernetics Studies and Research, 48 (2), 1-16.

·   Nalban V., 2015, Exchange Rate Pass-Through in Central and Eastern Europe: A Panel Bayesian VAR Approach”, Czech Journal of Economics and Finance, 65, 4, 290-306

·   Altar, M., A-N Altar-Samuel, I. Marcu, 2014, “Measuring Systemic Risk using Contingent Claims Analysis”, Romanian Journal of Economic Forecasting, 17, 4, 22-48

·   Bojeşteanu Bobeica E., A.S. Manu, 2013, Empirical Analysis of Business Cycle Synchronization and Shock Similarity Between Romania and the Eurozone, Emerging Markets Finance and Trade, 49, 4, 74-97

·   Gaiduchevici G., B. Negrea, 2013, “Credit Risk Dependence Modeling for Collateralized Debt Obligations”, Economic Computation and Economic Cybernetics Studies and Research, vol. 4,

·   Anghelache, G.-V., B.-O. Cozmâncă, A.-N. Radu, 2011, “Operational Risk Modelling and Capital Adequacy – are There any Rewards in Greater Complexity?”, Romanian Journal of Economic Forecasting, 14, 3, 108 – 131, ISSN 1582-6163

·   Dumitru, I. & I. Dumitru, 2011, "Similarity of Supply and Demand Shocks between the New Member States and the Euro Zone. The Case of Romania," Romanian Journal of Economic Forecasting, 14 (1), 5 – 19

·   Leonte A., 2011, “Assessing Fiscal Sustainability Using Cointegration for a Group of Euro Area Candidates”, Economic Computation and Economic Cybernetics Studies and Research, 45, 3, 213-227

·   Dardac, N., Chiriac, P., B. Moinescu, 2012, Utilizarea modelelor de rating intern în managementul riscurilor asociate expunerilor instituţiilor financiare nebancare, Amfiteatru Economic, 14 (31), 181-196.

·   Necula C., A-N Radu, 2012, “Long Memory in Eastern European Financial Markets Returns,” Economic Research, 25, 2,

·   Altar M., G. Bobeica, C. Necula, 2010, „Estimating Potential GDP for the Romanian Economy. An Eclectic Approach”, Romanian Journal of Economic Forecasting, 13, 3

·   Cozmâncǎ, B.-O., F., Manea, 2010, “Exchange rate pass-through into Romanian price indices. A VAR approach”, Romanian Journal of Economic Forecasting, 13 (3)

·   Cozmâncǎ, B., F. Manea, 2010, “Asymmetries in the exchange rate pass-through into Romanian price indices”, Romanian Journal of Economic Forecasting, 13 (1), pp. 21-44.

·   Altar M., G. Bobeica, C. Necula, 2010, „Estimating the Cyclically Adjusted Budget Balance for the Romanian Economy. A Robust Approach.”, Romanian Journal of Economic Forecasting, 13, 2

·   Dumitru, I., I. Dumitru, 2010, “Business cycle correlation of the new meber states with eurozone - The case of Romania”, Romanian Journal of Economic Forecasting, 13 (4), 16-31

·   Necula C., 2010, „A Two–Country Discontinuous General Equilibrium Model”, Economic Computation and Economic Cybernetics Studies and Research, 44, 2

·   Necula C., 2010, „Modeling the Dependency Structure of Stock Index Returns using a Copula Function Approach”, Romanian Journal of Economic Forecasting, 13, 3

·   Necula C., 2010,  “A Copula-GARCH Model”, Economic Research, 23, 2

·   Negrea B., 2010, “A Note on Skewness in the Stochastic Volatility Models”, Economic Computation and Economic Cybernetics Studies and Research, vol. 1

·   Dardac, N., Moinescu, B., 2009, The third wave of the financial crisis and its ripple effects on the deterioration risk of Romanian banking sector's performance, Economic Computation and Economic Cybernetics Studies and Research, 1

·   Dumitru, I., I. Dumitru, 2009, An assessment of the current account sustainability in Romania - An inter-temporal perspective, Romanian Journal of Economic Forecasting, 10 (2), 23-41.

·   Necula C., 2009, “Modeling Heavy-Tailed Stock Index Returns Using the Generalized Hyperbolic Distribution”, Romanian Journal of Economic Forecasting, 10, 2

·   Altar M., G. Bobeica, C. Necula, 2008, “Modeling the Economic Growth in Romania. The Influence of Fiscal Regimes”, Romanian Journal of Economic Forecasting, 9, 4

·   Altar M., G. Bobeica, C. Necula, 2008, “Modeling the Economic Growth in Romania. The Role of Human Capital”, Romanian Journal of Economic Forecasting, 9, 3

·   Necula C., 2004, “Option Pricing in a Fractional Brownian Motion Environment”, Mathematical Reports, vol.6(56), no. 3


  OTHER SELECTED PAPERS IN PEER-REVIEWED JOURNALS

·   Murarasu B., 2015, ”An Analysis of Inflation Dynamics based on an Empirical Improved Proxy for Real Marginal Cost Gap in the New Keynesian Phillips Curve”, Journal of Economics, Business and Management, vol. 3, no. 12, pp. 1120-1125, ISSN: 2301-3567.

·   Murarasu, B., A. Bobașu, 2015, "Trade Openness and Output Comovement in EU Emerging Countries: A Panel Data Approach", Journal of Eastern Europe Research in Business and Economics, Vol. 2015 (2015), pp 1-15, ISSN: 2169-0367

·   Boitan I., T.C. Barbu, 2014, Sustainable financial products - a gateway of civil society into the financial world, Conference proceedings SGEM: Politicalsciences, law, finance, economics and tourism, published by STEF92 Technology Ltd., Sofia, Bulgaria, ISSN 2367-5659, 2014, pag 663-670

·   Murarasu, B., A. Bobașu, 2014, "Output Spillovers from Trade and Financial Linkages in Central and Eastern European Countries: A Panel Analysis", The Review of Finance and Banking, Vol. 6, Issue 2,, ISSN: 2067-2713.

·   Barbu T.,  I. Boitan, 2013, Bridge bank and bad bank tools in EU - .An efficiency assessment case study, Theoretical and Applied Economics, 2013, vol.3(580) (supplement), page 520-529

·   Barbu T., I. Boitan, 2013, Implications of the single supervisory mechanism on ECB's functions and on credit institutions' activity, Theoretical and Applied Economics  No. 3 / 2013 (580); pp 103-120

·   Barbu T., I. Boitan, 2012, Central Banks’ Response to the Current Financial Crisis – Between Costs and Benefits, International Journal of Economics and Financial Issues, vol. 2, no. 1 (2012), ISSN: 2146-4138,

·   Barbu T., I. Boitan, 2012, The Effects of the Unconventional Monetary Policy Measures adopted during the Financial Crisis, International Journal of Economics and Financial Issues, Vol. 2, No. 1, ISSN: 2146-4138;

·   Necula C., A-N Radu, 2012, A Worldwide Assessment of Bank Resolution Fund Premiums, Procedia - Social and Behavioral Sciences; First World Conference on Business, Economics And Management (WCBEM-2012), 4 – 6 May 2012, Antalya (Turcia); vol. 62, pg. 1001–1005, ISSN: 1877-0428

·   Barbu T., N. Dardac, I. Boitan, 2011, Opportunities for the financial markets in the implementation of sustainability criteria, Quality – access to success, volumul 1, no. 125, 2011, ISSN 1582-2559

·   Anghelache, G.-V., B.-O. Cozmâncă, C.-A. Hândoreanu, C. Obreja, A.-C. Olteanu, A.-N. Radu, 2011, Operational Risk - An Assessment at International level, International Journal of Mathematical Models and Methods in Applied Sciences, 1(5), 184  - 192; ISSN 1998-0140

·   Anghelache, G.-V., B.-O. Cozmâncă, C.-A. Hândoreanu, C. Obreja, A.-C. Olteanu, A.-N. Radu, 2011, Operational risk assessment for a group of Romanian credit institutions, International Journal of Multidisciplinary Thought, 1, 4, 77-83, ISSN: 2156-6992

·   Anghelache, G.-V., A.-C. Olteanu, A.-N. Radu, 2011, Capital Requirement under the Three Approaches for a Credit Institution in Romania, Annals of Ovidius University, XI, 1, 94 – 99, ISSN: 1582-9383

·   Negrea B., 2011,How to Compute the Liquidity Cost in the Orders-Driven Market?”, The Review of Finance and Banking, 3 (1)

·   Anghelache, G., A.-C. Olteanu, A.-N. Radu, 2010, Operational Risk Measurement, European Research Studies Journal, XIII, 1, 215 – 223, ISSN: 1108-2976

·   Leonte A., 2010, Impulse-response analysis in a simple DSGE framework, Analele Universităţii Ovidius din Constanţa, Vol. X(1), pp. 706-710

·   Leonte A., 2010, Assessing the connection between fiscal policy and private consumption in four euro area candidates, Analele Universităţii Ovidius din Constanţa, Vol. X(2), pp. 424-427, 2010, ISSN 1582-9383

·   Leonte A., 2010, Assessing fiscal stimulus efficiency in Poland and Greece, Theoretical and Applied Economics, Vol. XVII, supliment, pp. 778-784, ISSN 1841-8678

·   Murarasu, B., 2010, Recent Macroeconomic Developments in the New Member States”, Ovidius University Annals Economic Sciences Series, Volume X, Issue 1, pp 740-745, ISSN 1582 – 9383.

·   Anghelache, G.-V., A.-C. Olteanu, A.-N. Radu, 2009, The Capital Requirements for Financial Institutions in the context of Basel II, Annales Universitatis Apulensis, Series Oeconomica, 1, 11, 392 – 401, ISSN 1454-9409

·   Necula, C., A. N. Radu, 2009, Detecting Regime Switches in the EUR/RON Exchange Rate Volatility, Annals of Faculty of Economics, Oradea, XVIII, 3, 610-615, ISSN 1582-5450

·   Ciurilă, N., B. Murarasu, 2008, "Inflation Dynamics in Romania - a New Keynesian Perspective", Annals of University of Craiova - Economic Sciences Series, Volume I, Issue 36, pp 155-160, ISSN: 1223-365X.

·   Barbu, T. C., Olteanu A. C, A.-N. Radu, 2008, The necessity of operational risk management and quantification, Annals of Faculty of Economics, Oradea, 3, 1, 661-667, 2008, ISSN 1582-5450

·   Bobeicǎ, G., E. Bojeşteanu, 2008, Long memory in volatility. An investigation on the Central and Eastern European exchange rates, European Research Studies Journal, 11 (4), 7-18.

·   Murarasu, B., N. Ciurilă, 2008, "Inflation Dynamics in Romania - a New Keynesian Perspective", European Research Studies Journal, Volume XI, Issue (4), pp 31-38, ISSN: 1108-2976.

·   Puiu A. C., A. N Radu, 2008, Interest rate quantification models, Theoretical and Applied Economics, 11 supliment, 528, 285-292, ISSN 1841-8678

·   Murarasu, B., 2007, “An Assessment of the Equilibrium Exchange Rate in the View of the European Integration”, The Annals of the University of Oradea. Economic Sciences, Volume: II, pp 464-467, ISSN: 1582 – 5450.

 

 

 


  OTHER SELECTED BOOKS AND CHAPTERS IN BOOKS

·   Damian V., B. Negrea, 2016, “Stochastic calculus applied in financial engineering”, Economica Publisher, Bucharest (in Romanian)

·   Murarasu, B., 2016, “Dinamica mecanismelor de acomodare a socurilor macroeconomice”, Editura ASE, Bucharest, ISBN; 978-606-34-0073-5 (in Romanian)

·   Altar M., I., Hasan  (editors), 2015, Systemic Risk and Sustainable Growth, Pro Universitaria, Bucharest, ISBN: 978-606-26-0165-2

·   Boitan, I., T. Barbu (editors), 2014, Financial industry at the crossroads between current practices and ethical virtues, Taadler Publishing House, ISBN 978-966-7538-93-9/2014

·   Murarasu, B., A. Bobașu, 2014, ”Trade Openness and Output Comovement in EU Emerging Countries: A Panel Data Approach”, in Conference proceedings of “23rd International-Business-Information-Management-Association Conference on Visio 2020: Sustainable Growth, Economic Development, and Global Competitiveness, Valencia, Spain, 13-14 May, 2014, pp 1197-1210/2014 pg. ISBN 978-0-9860419-2-1.

·   Murarasu, B., A. Bobașu, 2014, ”Assessing the Importance of an Inflation Stable Environment on SMEs Development in Case of New Member States Using a New Keynesian Phillips Curve Approach”, in Conference proceedings of international conference ”SMEs Development and Innovation: Building Competitive Future of South-Eastern Europe”, Ohrid, Macedonia, 3-4 October, 2014, pp 551-562/1011 pg., 2014. ISBN 978-9989-695-56-8.x

·   Altar M., I., Hasan  (editors), 2013, Financial Stability,  Pro Universitaria, Bucharest, ISBN: 978-606-647-830-4

·   Barbu T., Boitan I. 2013, The emergence of ethical banks – a way towards sustainable banking business, in Leire San-Jose/ Jose Luis Retolaza (editors) Prospective Innovation at Ethical Banking and  Finance, 2013, pag 100-125, Taadler Publishing House, ISBN 978-966-05-09

·   Obreja C., A.-N. Radu, A.-C. Olteanu, 2013, Methods of Quantifying Risks in Banking Activity, in G. Papanikos (ed.), Essays on Growth, Development and Finance, Athens Institute for Education and Research - ATINER, 2013, ISBN 978-618-5065-17-1

·   Murarasu, B., 2013, "Monetary Sector and the Balance of Payments in Pauna, B. And Saman, C. (ed.)Building Blocks in Modeling a Market Economy”, Nova Science Publishers, New York, pp 61-91/203 pg., ISBN: 978-1-62808-554-9. 

·   Necula C., A.-N. Radu, 2013, The Dynamics of Stock Market Volatility in Central and Eastern European Emerging Markets, in G. Papanikos (ed.), Essays on Growth, Development and Finance, Athens Institute for Education and Research - ATINER, 2013, ISBN 978-618-5065-17-1

·   Radu, A.-N., 2013, Modele avansate de cuantificare a riscurilor pe piața de capital, Editura ASE, București, 2013, ISBN 978-606-505-721-0 (in Romanian)

·   Altar M., G. Bobeică, C. Necula, 2012, “Fiscal policy and economic growth in Central and Eastern European countries”, in Socol C. (Ed), Emerging macroeconomics. Case studies - Central and Eastern Europe, Nova Science, 2012

·   Anghelache, G.- V., A.-N. Radu, 2012, Portfolio selection under downside risk constraints in Central and Eastern European emerging markets, în Socol C. (ed), Emerging Macroeconomics. Case Studies - Central and Eastern Europe, Nova Science, New York, 2012, ISBN 978-162-25-7354-7

·   Anghelache, G.-V., B.-O. Cozmâncă, C.- A. Hândoreanu, C. Obreja, A.-C. Olteanu, A.-N. Radu, 2012, Adecvarea capitalului la Riscul Operaţional în contextul Hazardului Moral, Editura ASE, București 2012, ISBN 978-606-505-505-6 (in Romanian)

·   Dardac, N., B. Moinescu, 2012, Financial stability and the fulfillment of nominal criteria in the Euro adoption process: An empirical analysis on Romania, in Socol C. (ed.) Emerging Macroeconomics. Case Studies - Central and Eastern Europe, Nova Science, 147-167.

·   Dardac N., T. Barbu, 2012, Institutii de credit, Editura ASE, ISBN978-606-505-252-9 (in Romanian)

·   Leonte A., 2012, “Studying Fiscal Policy Effects Using a Simple DSGE Model”, in Leonid Kosals, Heiko Pleines (eds) Governance Failure and Reform Attempts after the Global Economic Crisis of 2008/09. Case Studies from Central and Eastern Europe, Ibidem Press, Stuttgart, pp. 71-93, ISBN 978-3- 8382-0336-2

·   Necula C., G.-V. Anghelache, A.-N. Radu, 2012, Modeling Stock Returns Dynamics in Central and Eastern European Emerging Markets, in G. Papanikos (ed.), Economic Essays, Athens Institute for Education and Research - ATINER, 2012, ISBN 978-960-9549-84-4

·   Necula, C., A-N., Radu, 2012, The Dependency Structure of Stock Market Returns in Central and Eastern European Countries, in Socol C. (ed), Emerging macroeconomics. Case studies - Central and Eastern Europe, Nova Science,  New York, pg. 33 – 56, 2012,  ISBN 978-162-25-7354-7

·   Altar M., G. Bobeică, I. Dumitru, C. Necula, 2011, The European Semester: ensuring sustainable economic growth through sound public finances. Lessons for Romania, IER Publishing House, Bucharest

·   Leonte A., T. Stoica, 2011, Estimating a Fiscal Reaction Function for Greece, in International Proceedings of Economics Development and Research, ICFME 2011, 2-3 iulie, Hong Kong, pp. 391-395, ISBN 978-981- 08-9084- 1 (ISI Proceedings)

·   Leonte A., 2011, „Assessing Fiscal Persistence and Responsiveness in Romania”, in Proceedings of the 2011 International Conference on Sociality and Economics Development, ICSEP 2011, Kuala Lumpur, pp. 246-249, 2011, ISBN 978-981- 08-9083- 4 (ISI Proceedings)

·   Leonte A., 2011, Testing the Rule-of- Thumb Consumers Feature for a Group of Euro Area Candidates, in Proceedings Economies of Central and Eastern Europe: Convergence, Opportunities and Challenges, Tallinn, ISBN 978-9949- 430-50- 5

·   Radu A-N, C Necula, A.-L.Trifan, 2011, The Dynamics of Bank Assets Volatility in Central and Eastern European Countries, in Mastorakis N. et al (eds), Models and Methods in Applied Sciences - Proceedings of the International Conference EEEDSCCM 2011; 27-29 October 2011, Drobeta-Turnu Severin (Romania); pg. 117-122, ISBN 978-1-61804-044-2

·   Necula C, A-N Radu, 2011, The Distribution of Eur/Ron Returns in a General Equilibrium Model with Jumps, in Proceedings of the 18th International Economic Conference IECS 2011, 19 – 20 May 2011, Sibiu (Romania); pg. 421- 425, ISBN 978-606-12-0139-6

·   Hândoreanu, C.-A., A. N. Radu, A.C. Olteanu, 2011, Computing operational risk approaches for credit institutions, in Proceedings of the 18th International Economic Conference IECS 2011, 19 – 20 May 2011, Sibiu (Romania); pg. 256 – 262, ISBN 978-606-12-0139-6

·   Altar M., L. Albu, G. Bobeică, C. Necula, 2010, Implementing a Medium Term Fiscal Framework for Romania, IER Publishing House, Bucharest;

·   Anghelache, G., B. Cozmanca, C. Handoreanu, C. Obreja., A.-C. Olteanu, A.-N. Radu, 2010, An International Assessment of Operational Risk Management, WSEAS Press, The 5th WSEAS Int. Conf. on ECONOMY AND MANAGEMENT TRANSFORMATION (EMT'10), 24-26 October 2010, Timisoara (Romania), pg. 562 – 567, ISSN: 1792-5983, ISBN: 978-960-474-241-7

·   Anghelache, G.-V., A.-C. Olteanu, A.-N. Radu, 2010, Analysis Of Operational Risk For European Banks, International Conference “Challenges of the Knowledge Society”, Ed. Pro Universitaria, 2010, Nicolae Titulescu University, București (Romania), pg. 1775 – 1785, ISBN 978-973-129-541-1

·   Dănilă, N., L. C. Anghel, A. N. Radu, I. Boitan, G. Bistriceanu, F. E. Şinca, 2010, Corporate banking. Produse şi servicii bancare corporate, Editura ASE, București, 2010, ISBN: 978-606-505-310-6 (in Romanian)

·   Dardac N., T. Barbu, 2009, Moneda, Editura ASE, ISBN978-606-505-252-9 (in Romanian)

·   Handoreanu, C. – A., A. – N. Radu,  A. – C. Olteanu, 2009, Unethical Practices of Romanian Banks, in Cahier de la Recherché de l’ISC Paris - CRISC N°24, Ed. ISC Paris, volumul Conferinței Internaţionale „Unethical Business Practices”, 8 – 9 June 2009, Paris (France), pg. 514-538, ISBN: 978-2-916145-15-0

·   Tatu, L., B. Negrea, B. Murarasu, D. Tatu, N. Ciurilă, 2009,Microstructura pietelor financiare”, Editura Universitară, 134 pg., ISBN: 978-973-749-731-4 (in Romanian)

·   Altar M., L.L Albu, I. Dumitru, C. Necula, 2008, “Estimation of Equilibrium Real  Exchange Rate and of Deviations for Romania”, in Iancu A. (ed.); Economic convergence; C.H. Beck, Bucharest,

·   Altar M., L.L Albu, I. Dumitru, C. Necula, Evidences of the Intensity of the Balassa-Samuelson Phenomenon in the Romanian Economy, in Iancu A. (ed.), Economic convergence; C.H. Beck; Bucharest, pg. 132 – 140; ISBN – 978-973-27-1630-4

·   Altăr, M., I. Stancu, C. Necula, G. Bobeică, E. Bojeşteanu, N. Ciurilă, B. Murăraşu, A.I. Sima, I. Magyari, 2008, „Elaborarea şi Estimarea de Modele Econometrice pentru Studierea Volatilităţii Mediului Macroeconomic din România”, Editura ASE, ISBN: 978-606-505-087-7 (in Romanian)

·   Altăr, M., C. Necula, G. Bobeică, E. Bojeşteanu, N. Ciurilă, A. Grigore, B. Murăraşu, A.I. Sima, B. Dumitrescu, 2008, „Fundamentarea de politici care să asigure consistenţa şi sustenabilitatea finanţelor publice”, Editura ASE, ISBN: 978-606-505-086-0 (in Romanian)

·   Bobeica, G., E. Bojesteanu, 2008, „Alternative Methods to Identify the European Monetary Policy Shocks”, in G.T. Papanikos (ed.) Applied Economic Research, Athens: ATINER, 233-248

·   Bobeica G., E. Bojesteanu, I. Costica, 2008, „Shock Synchronicity between the EU Newcomers and the Euro Area”, in Stavarek, D. and Poloucek, S. (eds.) Consequences of the European Monetary Integration on Financial Systems, Newcastle: Cambridge Scholars Publishing, 242-257

·   Murarasu, B., N. Ciurilă, 2008, "The Effectiveness of the Interest Rate Channel in the New Member States" in Stavarek, D. and Poloutek, S. (ed) Consequences of the European Monetary Integration on Financial Markets, Newcastle: Cambridge Scholars Publishing,  pp 207-216/268 pg., ISBN (13): 978-1-4438-0068-6.

·   Murarasu, B., N. Ciurilă, 2008, "Co-movement, Contagion and Volatility Spillovers on European Foreign Exchange Markets", in Proceedings of the 2nd International Colloquium on Business & Management (ICBM) in conjunction with the International Colloquium on Business & Management Education, edited by Mark W. Neal,  Asian Institute of Technology, Bangkok, Thailand, 2008, ISBN 978-1-60530-424-3.

·   Olteanu A. C., A. – N. Radu, 2008, Operational risk management, in International conference procedeeing ASECU (Association of Economic Universities of South and East Europe and Black Sea Region), 22 – 24 May 2008,  București (Romania),  pg. 503-510, ISBN 978-973-594-992-1

·   Bobeica G., E. Bojesteanu, 2007, „Expectations Formation in Open Economy Models”, in J. Roufagalas (ed.) Mechanisms & Policies in Economics, Athens: ATINER, 311-328

·   Murarasu, B., 2007, "Monetary Policy Effectiveness in the View of Integration within EU Financial System", in conference volume for The International Economic Conference Romania within the EU: Opportunities, Requirements and Perspectives, organized by "Lucian Blaga" University of Sibiu, pp 254-260/457 pg., 2007, ISBN 978-973-739-444-6.

·   Murarasu, B., 2007, "The Effectiveness of the Interest Rate Channel in the New Member States" in 11th International conference on Finance and Banking: Future Of The European Monetary Integration volume, Karvina, Czech Republic, Silesian University Press, pp 572-583, 2007, ISBN (13): 978-80-7248-444-7.

·   Murarasu, B., N. Ciurilă, 2007 „An Assessment of the Equilibrium Exchange Rate in Eastern European Countries”, in Proceedings of the Third International Conference on Business, Management and Economics, Izmir, Yasar University, 2007, ISBN 978-975-6339-11-4

·   Altar M., L.L. Albu, I. Dumitru, C. Necula, 2006, The Impact of Capital Account Liberalization on the Exchange Rate and the Competitiveness of the Romanian Economy, IER Publishing House, Bucharest

·   Negrea, B., 2006, Financial Assets Pricing: an introduction to the stochastic process theory, Economica Publisher, Bucharest (in Romanian)

 

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