3
H index
0
i10 index
21
Citations
Universitatea Babeş-Bolyai | 3 H index 0 i10 index 21 Citations RESEARCH PRODUCTION: 46 Articles RESEARCH ACTIVITY: 11 years (2006 - 2017). See details. MORE DETAILS IN: ABOUT THIS REPORT: Permalink: http://citec.repec.org/ptr235 |
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: | Cites to: |
Journals with more than one article published | # docs |
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Annals of Faculty of Economics | 16 |
Finante - provocarile viitorului (Finance - Challenges of the Future) | 16 |
Revista Economica | 8 |
Analele Stiintifice ale Universitatii "Alexandru Ioan Cuza" din Iasi - Stiinte Economice (1954-2015) | 3 |
Year | Title of citing document |
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2023 | An Analysis of Residual Financial Contagion in Romaniaâs Banking Market for Mortgage Loans. (2023). Delcea, Camelia ; Nica, Ionu ; Chiri, Nora ; Ionescu, Tefan. In: Sustainability. RePEc:gam:jsusta:v:15:y:2023:i:15:p:12037-:d:1211596. Full description at Econpapers || Download paper |
Year | Title | Type | Cited |
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2006 | New Values in Credit Risk Management In: Theoretical and Applied Economics. [Full Text][Citation analysis] | article | 0 |
2009 | The 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). [Full Text][Citation analysis] | article | 0 |
2010 | New Trends Concerning Operational Risc In E-Banking In: Analele Stiintifice ale Universitatii Alexandru Ioan Cuza din Iasi - Stiinte Economice (1954-2015). [Full Text][Citation analysis] | article | 1 |
2011 | Econometric 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). [Full Text][Citation analysis] | article | 0 |
2014 | RETAIL PAYMENT AND ECONOMIC GROWTH FOR DEVELOPED AND EMERGING EUROPEAN COUNTRIES In: Review of Economic and Business Studies. [Full Text][Citation analysis] | article | 1 |
2008 | Credit risk, a macroeconomic model application for Romania In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 4 |
2008 | The 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). [Full Text][Citation analysis] | article | 0 |
2008 | The impact of banks financial statements publication on their market capitalization (The B.S.E. Case) In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2008 | Stock Markets and their informational inefficiencies - the BSE case In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2008 | Marketing of the banking services in Romania - an analysis regarding the evolution of the influence factors In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2009 | Interest rate risk management - calculating Value at Risk using EWMA and GARCH models In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 1 |
2009 | Operational risk in banking - card fraud In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2009 | Using credit scoring method for probability of non-financial companies default estimation at industry level In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2010 | Using stress testing methodology in evaluating banking institutionââ¬â¢s exposure to risk In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2010 | Considerations regarding credit portfolio risk management of the banking institution In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2010 | Options evaluation - Black-Scholes model vs. binomial options pricing model In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2010 | The integration of capital markets: correlation analysis In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2011 | Advantages and Limitations of VAR Models Used in Managing Market Risk in Banks In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2011 | An Empirical Model for Assesing Risk and Performance in the Romanian Banking System In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 0 |
2012 | Financial contagion on the Romanian stock market In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 2 |
2012 | Evaluating the liquidity determinats in the central and eastern European banking system In: Finante - provocarile viitorului (Finance - Challenges of the Future). [Full Text][Citation analysis] | article | 6 |
2014 | LINKAGES BETWEEN THE STOCK MARKETS OF EASTERN EUROPE In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2014 | A MACROPRUDENTIAL FRAMEWORK FOR EUROPEAN COMMERCIAL BANKING SECTOR. AN EARLY WARNING SYSTEM WITH LOGIT APPROACH In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2014 | PROFITABILITY OF THE CENTRAL AND EASTERN EUROPEAN BANKING SYSTEM In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2014 | IMPROVING EWS FOR BANKING CRISES: ROC AND AUROC ANALYSIS In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2015 | EMPIRICAL INQUIRY OF GREGARIOUS BEHAVIOR: EVIDENCE FROM EUROPEAN EMERGING MARKETS In: Revista Economica. [Full Text][Citation analysis] | article | 3 |
2015 | EXPLORING THE RELATIONSHIP BETWEEN BANK PROFITABILITY AND STATE INTERVENTION POLICIES IN EUROPEAN BANKING SECTOR In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2012 | CONSIDERATIONS OVER THE METHODOLOGY OF FINANCIAL ANALYSIS AND ITS LINKAGE WITH BANKABILITY OF EUROPEAN FUNDED INVESTMENT PROJECTS In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2012 | THE TOLERANCE AND OPERATIONAL RISK APPETITE IN BANKING In: Revista Economica. [Full Text][Citation analysis] | article | 0 |
2010 | THE CORRELATION BETWEEN THE MARKET RISK AND THE LIQUIDITY RISK IN THE ROMANIAN BANKING SECTOR In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2010 | CONSIDERATIONS ON MONETARY POLICY HELD BY THE CENTRAL BANK TO ADOPT THE EURO In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2011 | MODELING ROMANIAN EXCHANGE RATE EVOLUTION WITH GARCH, TGARCH, GARCH- IN MEAN MODELS In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2012 | MULTIFRACTAL STRUCTURE OF CENTRAL AND EASTERN EUROPEAN FOREIGN EXCHANGE MARKETS In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 2 |
2012 | ANALYZING THE EUROPEAN MARKET OF INTEREST RATE SWAP INDICES In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2013 | A MACROPRUDENTIAL SUPERVISION MODEL. EMPIRICAL EVIDENCE FROM THE CENTRAL AND EASTERN EUROPEAN BANKING SYSTEM In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2013 | AN INQUIRY INTO CONTAGION TRANSMISSION AND SPILLOVER EFFECTS IN STOCK MARKETS In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 1 |
2015 | IDIOSYNCRATIC RISK AND SYSTEMIC RISK IN THE EUROPEAN BANKING SYSTEM In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2016 | THE RELATION BETWEEN PROFITABILITY, CAPITAL REQUIREMENTS AND THE STRUCTURE OF ASSETS-LIABILITIES IN BANKS In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2016 | THE NECESSITY OF AN UNIFORM REGULATION FOR THE MANAGEMENT OF BANKING RISK AT THE EUROPEAN LEVEL In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2017 | ASSETS LIABILITIES MODELS - A LITERATURE REVIEW In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2017 | CONSIDERATIONS 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. [Full Text][Citation analysis] | article | 0 |
2014 | ASSETS AND LIABILITIES DEPENDENCE: EVIDENCE FROM AN EUROPEAN SAMPLE OF BANKS In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2008 | Stock returns and their probabilistic distribution (the Bucharest Stock Exchange case) In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2009 | POLICIES OF THE COMMERCIAL BANKS LIQUIDITY MANAGEMENT IN THE CRISIS CONTEXT In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2009 | ANALYSIS MODEL ON THE RELATION BETWEEN MACROECONOMICAL VARIABLE TENDENCIES AND COMERCIAL BANKââ¬â¢S CREDIT RISK In: Annals of Faculty of Economics. [Full Text][Citation analysis] | article | 0 |
2010 | Considerations Regarding Operational Risk Management in the Context of the Basel II Agreement In: Romanian Economic Journal. [Full Text][Citation analysis] | article | 0 |
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