Access Statistics for Dan Armeanu

Author contact details at EconPapers.

Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
ANALYZING THE MARKET CONCENTRATION OF THE ROMANIAN CAPITAL MARKET 0 0 1 1 0 1 5 5
APPLICATION OF THE PRINCIPAL COMPONENTS ANALYSIS TECHNIQUE ON ROMANIAN INSURANCE MARKET 0 2 6 30 0 4 14 91
APPLYING THE BINOMIAL MODEL IN CASE OF EVALUATING CERTAIN DERIVATIVES 0 0 0 10 0 0 4 36
An empirical analysis of the causality relationship between insurance and economic growth 1 6 11 19 1 7 14 26
Analysis of the Romanian Capital Market in the Context of Market Globalization 1 1 3 19 1 1 6 55
Analysis of the Romanian Insurance Market Based on Ensuring and Exercising Consumers` Right to Claim 1 1 3 23 3 7 23 68
Application of Discriminant Analysis on Romanian Insurance Market 0 0 3 111 0 2 9 342
Application of the Model of Principal Components Analysis on Romanian Insurance Market 0 2 5 309 1 6 22 1,053
BANKING CRISES AND THEIR IMPLICATIONS ON THE FINANCIAL SYSTEM 0 0 0 71 0 0 4 174
Characteristics of Criteria for Selecting Investment Projects under Uncertainty 0 3 8 73 6 47 166 706
EMPIRICAL STUDY ON THE PERFORMANCES OF BLACK-SCHOLES MODEL FOR EVALUATING EUROPEAN OPTIONS 0 2 4 277 4 10 17 674
Estimating Potential GDP for the Romanian Economy and Assessing the Sustainability of Economic Growth: A Multivariate Filter Approach 2 2 2 19 4 10 32 75
FINANCIAL CRISIS IMPACT ON THE DEVELOPMENT OF THE ROMANIAN CAPITAL MARKET 0 0 3 49 0 0 9 186
FISCAL POLICY IMPACT UPON EUROPEAN AND NATIONAL ENTREPRENEURIAL ENVIRONMENT 1 1 4 74 1 1 9 161
FUNDAMENTING OF AN AGGREGATE INDICATOR FOR CLASSIFYING ENTERPRISES BASED ON THEIR FINANCIAL RESULTS 0 0 2 39 1 2 10 119
Finances, in the Light of Utility and Equity Criteria 0 0 0 23 0 0 8 94
Foreign Exchange Risk in International Transactions 4 11 21 382 20 59 187 2,025
Interest Rate Risk Management using Duration Gap Methodology 2 11 24 791 8 32 115 2,441
MANAGING CONTAGION RISK DURING ECONOMIC, FINANCIAL AND POLITICAL SHOCKS 0 1 1 4 0 1 5 15
MODELLING ROMANIA’S POTENTIAL GDP GROWTH RATE AND OUTPUT GAP 1 3 4 4 1 6 12 12
Management of Portfolio Investment Held by Pension Funds 1 1 2 113 1 2 5 274
Methods to Fund Technical Reserves in General Insurances 0 0 2 26 1 2 11 86
OPTIMIZING THE PORTFOLIO OF ASSETS, ACCORDING TO THE MARKOWITZ MODEL 0 0 4 46 0 0 13 109
Romanian Economic Environment Entrepreneurial Activities Analysis and Risk Evaluation 0 1 3 46 0 1 8 106
STUDY REGARDING THE IMPACT OF THE CORPORATE SOCIAL RESPONSIBILITY UPON FIRMS' FINANCIAL PERFORMANCE 1 2 10 184 2 3 20 402
Some Aspects Regarding the Analysis of the Life Insurance Market 0 0 1 50 1 3 24 155
Study Regarding Fiscal Policy – Corporative Social Responsibility Correlation 0 0 2 53 0 1 5 127
Substantiating the Incurred but not Reported Reserve 0 0 0 33 0 0 3 193
TESTING THE EFFICIENT MARKET HYPOTHESIS ON THE ROMANIAN CAPITAL MARKET 0 0 0 4 0 1 2 13
The Analysis of the Correlation Intensity Between Emerging Market During Economic Crisis 0 0 1 20 0 0 6 100
The Optimal Hedging Ratio for Non-Ferrous Metals 1 2 6 68 3 5 38 178
The Role of SMEs in Assessing the Contribution of Entrepreneurship to GDP in the Romanian Business Environment 1 1 7 28 7 34 75 157
The credit impact on the economic growth 1 1 9 17 2 2 17 34
USAGE OF THE MAIN COMPONENTS ANALYSIS IN THE MANAGEMENT OF THE INVESTMENT PORTFOLIO 2 2 4 34 3 3 9 136
USING THE MARKET MODEL ON ROMANIAN STOCK EXCHANGE 1 1 3 29 2 2 9 76
Usage of Option Contracts for Foreign Exchange Risk Management 1 2 9 182 5 11 41 606
Using Quantitative Data Analysis Techniques for Bankruptcy Risk Estimation for Corporations 1 1 6 80 1 2 21 236
Using the Multivariate Data Analysis Techniques on the Insurance Market 0 1 5 94 1 4 21 322
VaR Methodology Application for Banking Currency Portfolios 0 4 10 370 0 6 24 815
Total Journal Articles 23 65 189 3,805 80 278 1,023 12,483


Statistics updated 2017-05-02