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FILIP TEODOR IORGULESCU
FILIP TEODOR IORGULESCU
在 fin.ase.ro 的电子邮件经过验证
标题
引用次数
引用次数
年份
Fiscal policy and stock market efficiency: An ARDL bounds testing approach
A Stoian, F Iorgulescu
Economic Modelling 90, 406-416, 2020
602020
Considerations regarding the Valuation and Valorization of Cultural Heritage.
F Iorgulescu, F Alexandru, GC Cretan, M Kagitci, M Iacob
Theoretical & Applied Economics 18 (12), 2011
222011
Sustainable capital market
A Stoian, F Iorgulescu
Financing sustainable development: Key challenges and prospects, 193-226, 2019
202019
Value at risk: a comparative analysis
F Iorgulescu
Advances in Economic and Financial Research-DOFIN Working Paper Series, 2009
192009
Cultural heritage evaluation: a reappraisal of some critical concepts involved
M Iacob, F Alexandru, M Kagitci, GC CREŢAN, F Iorgulescu
Theoretical and Applied Economics 12 (12), 61, 2012
122012
Abordări privind evaluarea şi valorificarea patrimoniului cultural
F Iorgulescu, F Alexandru, GC Creţan, M Kagitci, M Iacob
Economie teoretică şi aplicată 12 (565), 13-31, 2011
102011
How risk aversion and financial literacy shape young adults’ investment preferences
A Stoian, N Vintila, F Iorgulescu, CO Cepoi, A Dina Manolache
82021
Backtesting value-at-risk: Case study on the Romanian capital market
F Iorgulescu
Procedia-Social and Behavioral Sciences 62, 796-800, 2012
82012
Sustainable capital market In Ziolo
A Stoian, F Iorgulescu
M. & Sergi, BS Cham (Eds.), Financing sustainable development: Key …, 2019
42019
Investigating contagion and market interdependence during the global financial crisis
F Iorgulescu
Central European Business Review 4 (2), 31-39, 2015
42015
Evaluarea patrimoniului cultural: o restaurare a câtorva concepte critice aferente
M Iacob, F Alexandru, M Kagitci, GC Creţan, F Iorgulescu
În: Economie teoretică şi aplicată. Volumul XIX, 577, 2012
42012
The Stylized Facts of Asset Returns and their Impact on Value-at-Risk Models
I Filip
Revista Economica, Supliment, 360-368, 2012
32012
FINANTE corporative. 1 vol
I Stancu, LE NAGHI, F IORGULESCU, L OBREJA-BRASOVEANU
Editura Economica, 2020
22020
Anti-Money Laundering And Counter-Financial Crime National Institutions Overview
I STANCU, R RĂDUŢ, MM MAFTEI, D RECE, F IORGULESCU
INTERNATIONAL RESEARCH CONFERENCE Change Leadership in Romania’s New Economy …, 2007
22007
The study of public debt: which are the distinctions between the emerging and advanced economies in the European Union?
A Stoian, F Iorgulescu
Empirica 43, 167-196, 2016
12016
Sustainable finance: A new finance paradigm
A Stoian, F Iorgulescu
Finance and Sustainable Development, 6-20, 2020
2020
Do Investors Listen to Fiscal Policy?–Study case Bucharest Stock Exchange
A Stoian, F Iorgulescu
2016
Insights into the Development of the Global Financial Crisis–A Tale of Contagion and Market Interdependence
F Iorgulescu
Central and Eastern Europe in the changing business environment, 101, 2015
2015
Evaluating the performance of volatility forecasts with the aid of statistical criteria
F Iorgulescu
International Finance and Banking Conference, 211, 2015
2015
NEW PERSPECTIVES ON FINANCIAL CONTAGION AND MARKET INTERDEPENDENCE IN THE AFTERMATH OF THE CRISIS
F Iorgulescu
INTERNATIONAL MULTIDISCIPLINARY SCIENTIFIC CONFERENCES ON SOCIAL SCIENCES …, 2014
2014
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