Access Statistics for Ciprian Antoniade Alexandru

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A NEW STATISTICAL MECHANISM TO IDENTIFY THE POTENTIAL MACROECONOMIC RISKS IN EURO-AREA MEMBER STATES 0 1 6 15 0 1 19 41
Bringing New Opportunities to Develop Statistical Software and Data Analysis Tools in Romania 0 0 2 16 0 1 17 69
CONVERGENCE OF FINANCIAL MARKET SEGMENTS: INSURANCE AND CAPITAL MARKET 0 0 1 9 0 1 13 40
Dynamic development of municipal bonds on capital markets in Romania and contribution to regional development 0 0 0 15 0 0 6 68
Indicators for the analysis of the evolution of the stock exchange 0 0 0 23 0 0 4 82
Local financing through capital markets 0 0 1 32 1 1 10 80
Multidimensional Nature of Climate Change. Why is the Climate Change a Social Issue? 0 0 24 24 0 2 17 17
PATTERN OF FINANCIAL SAVINGS IN A ROMANIAN BANK – A STATISTICAL ANALYSIS 3 4 6 17 6 10 24 36
PROFILE OF MIGRANTS IN ROMANIA – A STATISTICAL ANALYSIS USING "R" 0 1 1 19 3 6 17 47
Reducing Inequality Makes Societies Stronger 1 1 13 13 2 4 14 14
Renewable Energy Sources in Romania: A Statistical Approach 0 0 2 47 0 1 10 83
STUDYING THE VOLATILITY OF THE ROMANIAN INVESTMENT FUNDS WITH THE ARCH AND GARCH MODELS USING THE "R" SOFTWARE 1 1 4 13 2 4 15 42
Trust and Loss Aversion in Romanian Capital Market 0 0 0 17 0 0 3 62
Total Working Papers 5 8 60 260 14 31 169 681


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Analysis of the labour market in Romania in relation with working time 0 0 3 8 1 4 13 27
Credit Market as a “Mirror” of the Economic System: A Disequilibrium Approach 2 2 3 7 2 2 16 46
Financial Crisis from the Trust and Loss Aversion Perspective in Emerging Romanian Capital Market 0 0 1 14 0 1 8 94
Innovative methods to analyze the stock market in Romania. Studying the volatility of the Romanian stock market with the ARCH and GARCH models using the “R” software 1 1 4 6 2 2 6 11
MARKET CORRELATION, MARKET RETURNS AND PORTFOLIO IMPLICATION 0 1 2 5 1 2 7 31
R versus Other Statistical Software 0 0 4 28 0 0 14 84
R – a Global Sensation in Data Science 0 1 3 10 1 2 9 41
R-evolution in Time Series Analysis Software Applied on R-omanian Capital Market 0 0 2 12 0 2 17 90
The Capital Markets Research Based on the Financial Quantitative Models 0 1 7 35 1 7 32 94
VECTOR AUTOREGRESSIVE MODELS USING “R” 9 36 74 150 20 61 132 292
Total Journal Articles 12 42 103 275 28 83 254 810


Statistics updated 2017-04-03