Ioan Trenca : Citation Profile


Are you Ioan Trenca?

Universitatea Babeş-Bolyai

2

H index

0

i10 index

17

Citations

RESEARCH PRODUCTION:

46

Articles

RESEARCH ACTIVITY:

   11 years (2006 - 2017). See details.
   Cites by year: 1
   Journals where Ioan Trenca has often published
   Relations with other researchers
   Recent citing documents: 3.    Total self citations: 2 (10.53 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/ptr235
   Updated: 2022-09-24    RAS profile: 2021-12-19    
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Relations with other researchers


Works with:

Authors registered in RePEc who have co-authored more than one work in the last five years with Ioan Trenca.

Is cited by:

Škrinjarić, Tihana (2)

Bolarinwa, Segun (2)

Ruja, Catalin (1)

Ledenyov, Viktor (1)

Ghosh, Saibal (1)

Olayeni, Olaolu (1)

Vo, Xuan Vinh (1)

Pliszka, Kamil (1)

Ledenyov, Dimitri (1)

Cites to:

Reinhart, Carmen (9)

welch, ivo (6)

Bekaert, Geert (6)

Claessens, Stijn (6)

Barro, Robert (6)

Corsetti, Giancarlo (5)

Athanasoglou, Panayiotis (5)

Delis, Manthos (5)

Rose, Andrew (5)

Kose, Ayhan (4)

Bollerslev, Tim (4)

Main data


Where Ioan Trenca has published?


Journals with more than one article published# docs
Annals of Faculty of Economics16
Finante - provocarile viitorului (Finance - Challenges of the Future)16
Revista Economica8
Analele Stiintifice ale Universitatii "Alexandru Ioan Cuza" din Iasi - Stiinte Economice (1954-2015)3

Recent works citing Ioan Trenca (2022 and 2021)


YearTitle of citing document
2021.

Full description at Econpapers || Download paper

2021Is there a nonlinear relationship between nonperforming loans and bank profitability? Evidence from dynamic panel threshold. (2021). Vo, Xuan Vinh ; Olayeni, Richard Olaolu ; Bolarinwa, Segun Thompson. In: Managerial and Decision Economics. RePEc:wly:mgtdec:v:42:y:2021:i:3:p:649-661.

Full description at Econpapers || Download paper

2021Determinants of nonperforming loans after recapitalization in the Nigerian banking industry: Does efficiency matter?. (2021). Bolarinwa, Segun ; Akinyele, Olawale ; Vo, Xuan Vinh. In: Managerial and Decision Economics. RePEc:wly:mgtdec:v:42:y:2021:i:6:p:1509-1524.

Full description at Econpapers || Download paper

Works by Ioan Trenca:


YearTitleTypeCited
2006New Values in Credit Risk Management In: Theoretical and Applied Economics.
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2009The use in banks of value at risk method in market risk In: Analele Stiintifice ale Universitatii Alexandru Ioan Cuza din Iasi - Stiinte Economice (1954-2015).
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2010New Trends Concerning Operational Risc In E-Banking In: Analele Stiintifice ale Universitatii Alexandru Ioan Cuza din Iasi - Stiinte Economice (1954-2015).
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2011Econometric Models Used For Managing The Market Risk In The Romanian Banking System In: Analele Stiintifice ale Universitatii Alexandru Ioan Cuza din Iasi - Stiinte Economice (1954-2015).
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2014RETAIL PAYMENT AND ECONOMIC GROWTH FOR DEVELOPED AND EMERGING EUROPEAN COUNTRIES In: Review of Economic and Business Studies.
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2008Credit risk, a macroeconomic model application for Romania In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2008The European investment fund and the evidence of the undertakings for collective investment in transferable securities (UCITS) marker In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2008The impact of banks financial statements publication on their market capitalization (The B.S.E. Case) In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2008Stock Markets and their informational inefficiencies - the BSE case In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2008Marketing of the banking services in Romania - an analysis regarding the evolution of the influence factors In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2009Interest rate risk management - calculating Value at Risk using EWMA and GARCH models In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2009Operational risk in banking - card fraud In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2009Using credit scoring method for probability of non-financial companies default estimation at industry level In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2010Using stress testing methodology in evaluating banking institution’s exposure to risk In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2010Considerations regarding credit portfolio risk management of the banking institution In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2010Options evaluation - Black-Scholes model vs. binomial options pricing model In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2010The integration of capital markets: correlation analysis In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2011Advantages and Limitations of VAR Models Used in Managing Market Risk in Banks In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2011An Empirical Model for Assesing Risk and Performance in the Romanian Banking System In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2012Financial contagion on the Romanian stock market In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2012Evaluating the liquidity determinats in the central and eastern European banking system In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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2014LINKAGES BETWEEN THE STOCK MARKETS OF EASTERN EUROPE In: Revista Economica.
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2014A MACROPRUDENTIAL FRAMEWORK FOR EUROPEAN COMMERCIAL BANKING SECTOR. AN EARLY WARNING SYSTEM WITH LOGIT APPROACH In: Revista Economica.
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2014PROFITABILITY OF THE CENTRAL AND EASTERN EUROPEAN BANKING SYSTEM In: Revista Economica.
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2014IMPROVING EWS FOR BANKING CRISES: ROC AND AUROC ANALYSIS In: Revista Economica.
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2015EMPIRICAL INQUIRY OF GREGARIOUS BEHAVIOR: EVIDENCE FROM EUROPEAN EMERGING MARKETS In: Revista Economica.
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2015EXPLORING THE RELATIONSHIP BETWEEN BANK PROFITABILITY AND STATE INTERVENTION POLICIES IN EUROPEAN BANKING SECTOR In: Revista Economica.
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2012CONSIDERATIONS OVER THE METHODOLOGY OF FINANCIAL ANALYSIS AND ITS LINKAGE WITH BANKABILITY OF EUROPEAN FUNDED INVESTMENT PROJECTS In: Revista Economica.
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2012THE TOLERANCE AND OPERATIONAL RISK APPETITE IN BANKING In: Revista Economica.
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2010THE CORRELATION BETWEEN THE MARKET RISK AND THE LIQUIDITY RISK IN THE ROMANIAN BANKING SECTOR In: Annals of Faculty of Economics.
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2010CONSIDERATIONS ON MONETARY POLICY HELD BY THE CENTRAL BANK TO ADOPT THE EURO In: Annals of Faculty of Economics.
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2011MODELING ROMANIAN EXCHANGE RATE EVOLUTION WITH GARCH, TGARCH, GARCH- IN MEAN MODELS In: Annals of Faculty of Economics.
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2012MULTIFRACTAL STRUCTURE OF CENTRAL AND EASTERN EUROPEAN FOREIGN EXCHANGE MARKETS In: Annals of Faculty of Economics.
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2012ANALYZING THE EUROPEAN MARKET OF INTEREST RATE SWAP INDICES In: Annals of Faculty of Economics.
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2013A MACROPRUDENTIAL SUPERVISION MODEL. EMPIRICAL EVIDENCE FROM THE CENTRAL AND EASTERN EUROPEAN BANKING SYSTEM In: Annals of Faculty of Economics.
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2013AN INQUIRY INTO CONTAGION TRANSMISSION AND SPILLOVER EFFECTS IN STOCK MARKETS In: Annals of Faculty of Economics.
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2015IDIOSYNCRATIC RISK AND SYSTEMIC RISK IN THE EUROPEAN BANKING SYSTEM In: Annals of Faculty of Economics.
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2016THE RELATION BETWEEN PROFITABILITY, CAPITAL REQUIREMENTS AND THE STRUCTURE OF ASSETS-LIABILITIES IN BANKS In: Annals of Faculty of Economics.
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2016THE NECESSITY OF AN UNIFORM REGULATION FOR THE MANAGEMENT OF BANKING RISK AT THE EUROPEAN LEVEL In: Annals of Faculty of Economics.
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2017ASSETS LIABILITIES MODELS - A LITERATURE REVIEW In: Annals of Faculty of Economics.
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2017CONSIDERATIONS ON THE STRATEGY OF COMMERCIAL BANKS IN THE CONTEXT OF THE FINANCIAL SYSTEM DEVELOPMENT FOR THE PERIOD 2005-2013 In: Annals of Faculty of Economics.
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2014ASSETS AND LIABILITIES DEPENDENCE: EVIDENCE FROM AN EUROPEAN SAMPLE OF BANKS In: Annals of Faculty of Economics.
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2008Stock returns and their probabilistic distribution (the Bucharest Stock Exchange case) In: Annals of Faculty of Economics.
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2009POLICIES OF THE COMMERCIAL BANKS LIQUIDITY MANAGEMENT IN THE CRISIS CONTEXT In: Annals of Faculty of Economics.
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2009ANALYSIS MODEL ON THE RELATION BETWEEN MACROECONOMICAL VARIABLE TENDENCIES AND COMERCIAL BANK’S CREDIT RISK In: Annals of Faculty of Economics.
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2010Considerations Regarding Operational Risk Management in the Context of the Basel II Agreement In: Romanian Economic Journal.
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