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Issue Title
 
No 19 (2014) DIMENSIONS OF THE MARKET RISK Abstract  PDF
Cornelia Marcela Danu
 
No 24 (2016) RISK MANAGEMENT MODEL WITHIN AN ALTERNATIVE INVESTMENT FUND (AIF). SIF MOLDOVA CASE STUDY Abstract  PDF
Costel Ciocea
 
No 24 (2016) OPERATIONAL RISK MANAGEMENT APPROACHES WITHIN AN INVESTMENT FUND. SIF MOLDOVA CASE STUDY Abstract  PDF  PDF
Costel Ciocea
 
No 20 (2014) CONSIDERATIONS ON CONSUMER PERCEIVED RISK Abstract  PDF
Laura Catalina Timiras
 
No 14 (2009) Banking activity. Management by risk assessment and measurement Abstract  PDF
Vasile Gotcu
 
No 19 (2014) SOLVENCY II: THE IMPLICATIONS OF ITS APPLICATION ON THE ROMANIAN INSURANCE MARKET Abstract  PDF
Ioan Marius Ciotina
 
No 19 (2014) THE INFLUENCE OF MACROECONOMIC CONDITIONS ON CREDIT RISK: CASE OF ROMANIAN BANKING SYSTEM Abstract  PDF
Iulia Andreea Bucur, Simona Elena Dragomirescu
 
No 20 (2014) THE ECONOMIC RISK IN TRADING COMPANIES’ VALUATION Abstract  PDF
Mircea Muntean, Iulia Andreea Bucur, Andrei Muntean
 
No 20 (2014) RISK-ASSESSMENT PROCEDURES AND ESTABLISHING THE SIZE OF SAMPLES FOR AUDITING FINANCIAL STATEMENTS Abstract  PDF
Daniel Botez
 
No 20 (2014) THE EVOLUTION OF EUROPEAN BUSINESS ENVIRONMENT IN THE LAST FOUR YEARS Abstract  PDF
Cornelia Marcela Danu
 
No 19 (2014) THE IMPACT OF RISK OF POVERTY ON SEGMENTS OF THE MARKET IN ROMANIA Abstract  PDF
Cornelia Marcela Danu
 
No 19 (2014) BASEL III IMPACT ON BANKING SECTOR AND SMEs FINANCING Abstract  PDF
Florin Mihai Magda
 
No 18 (2013) PROJECT MANAGER SKILLS, RISK MANAGEMENT TOOLS Abstract  PDF
Vladut Iacob
 
No 23 (2016) CONVENTIONAL AND UNCONVENTIONAL MONETARY POLICY. THE CASE OF ROMANIA Abstract  PDF
Ioana Plescau
 
No 15 (2010) Management and risk in financed projects Abstract  PDF
Roxana Mironescu, Nicoleta Ciucescu
 
No 15 (2010) Risk Management in Public Procurement Process Abstract  PDF
Ioana Manea, Ioana Popa
 
No 15 (2010) The role of government policies in the proliferation of multinational business Abstract  PDF
Valentina Golea, Nicoleta Niculescu, Dragos Niculescu
 
No 15 (2010) The Relevance of Notions of Risk and Uncertainty in Investment Decision to Base at Local Abstract  PDF
Veronica Pasa Stignei
 
No 16-17 (2012): Combined issue for 2011 and 2012 The National Bank of Romania monetary policy characteristics in addition to the current financial crisis Abstract  PDF
Stefan Sambotin, Andreea Bucur
 
No 16-17 (2012): Combined issue for 2011 and 2012 Micro-prudentiality and financial stability Abstract  PDF
Cristian Ionescu
 
No 15 (2010) Theories about the financial crises Abstract  PDF
Irina Busuioc-Witowschi
 
1 - 21 of 21 Items

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ISSN: 2344-1321 (online)
Faculty of Economic Sciences, Vasile Alecsandri University of Bacau
Strada Spiru Haret nr. 8, Bacau, 600114, Romania