Access Statistics for Alin Marius Andrieș (Alin Marius Andries)

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
Central bank independence and systemic risk 0 0 0 42 0 2 13 87
Climate-Related Financial Policy and Systemic Risk 1 3 20 24 5 9 45 52
Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Managment 0 0 0 123 2 4 10 315
ESG and Systemic Risk 1 3 12 132 8 19 53 368
External Wealth of Nations and Systemic Risk 0 0 0 21 2 8 28 51
Good and Bad Credit Growth: Sectoral Credit Allocation and Systemic Risk 0 0 2 9 0 1 8 28
Recourse and (strategic) mortgage defaults: Evidence from changes in housing market laws 0 0 0 10 6 13 34 56
Risk Spillovers and Interconnectedness between Systemically Important Institutions 0 0 0 23 3 7 18 75
The COVID-19 Pandemic and Sovereign Bond Risk 0 0 0 56 1 3 17 162
The impact of international swap lines on stock returns of banks in emerging markets 0 0 1 24 1 2 11 140
The impact of international swap lines on stock returns of banks in emerging markets 0 0 0 17 5 6 9 140
The impact of international swap lines on stock returns of banks in emerging markets 0 0 0 79 1 4 9 198
The impact of national culture on systemic risk 0 0 0 0 1 3 7 11
The nexus between corporate governance, risk taking, and growth 0 0 0 1 2 3 8 15
Total Working Papers 2 6 35 561 37 84 270 1,698


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Comparative Analysis of the Efficiency of Romanian Banks 0 0 0 181 3 8 25 562
Analyzing time–frequency relationship between interest rate, stock price and exchange rate through continuous wavelet 0 1 1 54 0 4 20 234
BANK BUSINESS MODELS AND PERFORMANCE DURING CRISIS IN CENTRAL AND EASTERN EUROPE 0 0 0 2 2 7 14 36
COMPETITION IN ROMANIAN BANKING SECTOR 0 0 0 165 6 6 12 544
Central Bank Independence and Systemic Risk 0 0 2 22 1 8 35 110
Comovement of Exchange Rates: A Wavelet Analysis 0 0 0 23 2 7 20 102
Competition and efficiency in EU27 banking systems 0 0 0 96 8 9 23 322
Convergence of Bank Efficiency in Emerging Markets: The Experience of Central and Eastern European Countries 0 0 1 8 4 4 16 42
Corporate governance and efficiency in banking: evidence from emerging economies 0 0 2 16 2 3 24 75
Corruption and Banking Stability: Evidence from Emerging Economies 0 0 1 27 1 3 14 82
Credit booms and busts in emerging markets 0 0 1 14 2 2 10 145
Cyclical behaviour of systemic risk in the banking sector 0 0 3 11 3 3 18 56
DETERMINANTS OF BANK PERFORMANCE IN CEE COUNTRIES 0 0 2 119 1 1 11 315
DO SEASONAL ANOMALIES STILL EXIST IN CENTRAL AND EASTERN EUROPEAN COUNTRIES? A CONDITIONAL VARIANCE APPROACH 0 0 0 25 6 8 17 133
Decomposing time-frequency relationship between producer price and consumer price indices in Romania through wavelet analysis 0 2 3 60 4 17 33 262
Determinants of Bank M&As in Central and Eastern Europe 0 0 1 4 1 2 12 22
ERP and Performance of Companies in Romania 0 0 0 5 2 5 16 38
ESG and systemic risk 2 2 14 35 7 14 62 143
ESG performance and banks’ funding costs 1 5 12 32 9 26 78 176
Effective tax rates for bank entities across European Union. The role of loan loss provisions 0 0 5 5 1 2 9 13
Effects of Macroprudential Policy on Systemic Risk and Bank Risk Taking 1 2 3 85 7 12 29 411
Evaluation of the space-time effects of Covid-19 on household loans and savings in Romania - A spatial panel data approach at county level 0 0 1 2 4 9 17 21
External wealth of nations and systemic risk 0 0 4 4 5 12 27 34
Financial Infrastructure and Access to Finance for European SMEs 0 0 0 15 2 2 17 92
Financial crisis and bank efficiency: An empirical study of European banks 0 0 0 4 2 3 13 21
Gender Diversity on Boards and Bank Efficiency Across Emerging Europe 0 0 1 2 2 8 24 40
Gender Diversity, Banks‘ Performance, and Stability across Central and Eastern European Countries 1 1 1 6 6 6 18 34
Impact of Financial Liberalization on Banking Sectors Performance from Central and Eastern European Countries 0 0 1 5 1 2 8 29
Institutional determinants of households’ financial investment behaviour across European countries 0 0 1 3 1 6 17 31
LOW INTEREST RATES AND BANK RISK-TAKING: HAS THE CRISIS CHANGED ANYTHING? EVIDENCE FROM THE EUROZONE 0 0 1 46 5 8 21 154
MACROPRUDENTIAL POLICIES AND ECONOMIC GROWTH 0 0 2 68 2 5 13 183
MONETARY POLICY TRANSMISSION MECHANISM IN ROMANIA - A VAR APPROACH 0 1 1 276 1 3 11 511
Measuring Financial Contagion and Spillover Effects with a State-Dependent Sensitivity Value-at-Risk Model 0 0 0 17 4 4 11 103
On Becoming an O-SII (“Other Systemically Important Institution”) 0 0 1 11 2 3 14 85
Recourse and (strategic) mortgage defaults: Evidence from changes in housing market laws 0 0 3 3 14 23 64 69
Reprint of: The asymmetric effect of international swap lines on banks in emerging markets 0 0 1 11 2 3 10 84
Risk arbitrage in emerging Europe: are cross-border mergers and acquisition deals more risky? 0 0 0 1 2 4 7 16
Risk spillovers and interconnectedness between systemically important institutions 0 0 1 6 5 8 21 50
Sectoral credit allocation and systemic risk 2 4 12 12 9 18 62 69
Stress-testing for portfolios of commodity futures 0 0 0 56 2 5 20 205
Systemic Risk and Foreign Currency Positions of Banks: Evidence from Emerging Europe 0 0 0 8 2 2 7 43
Systemic risk, corporate governance and regulation of banks across emerging countries 0 0 1 37 2 4 15 134
THE IMPACT OF MERGERS AND ACQUISITIONS ON BANKING PERFORMANCE 1 1 3 88 4 5 19 315
The COVID-19 Pandemic and Sovereign Bond Risk 0 0 0 3 2 4 14 42
The Determinants of Bank Efficiency and Productivity Growth in the Central and Eastern European Banking Systems 0 1 2 83 0 3 14 255
The Nexus between Bank M&As and Financial Development 0 0 0 12 0 5 11 67
The Risk-Taking Channel of Monetary Policy: Do Macroprudential Regulation and Central Bank Independence Influence the Transmission of Interest Rates? 0 0 1 33 3 5 15 109
The asymmetric effect of international swap lines on banks in emerging markets 0 0 0 34 6 7 15 161
The effectiveness of policy interventions in CEE countries 0 0 0 18 1 1 8 118
The effects of macroprudential policies on credit growth 0 0 5 21 4 5 25 49
The impact of central bank transparency on systemic risk—Evidence from Central and Eastern Europe 0 0 1 24 4 6 21 111
The impact of national culture on systemic risk 0 0 2 11 1 3 11 32
The nexus between competition and efficiency: The European banking industries experience 0 0 1 56 3 5 14 249
The nexus between corporate governance, risk taking, and growth 0 0 0 2 1 5 10 35
The relationship between exchange rates and interest rates in a small open emerging economy: The case of Romania 0 0 2 122 4 21 53 942
The role of institutional investors in the financial development 0 1 9 30 8 13 37 98
What Role Have Banks in Financial Crises? 0 1 3 211 2 5 10 796
When the message hurts: The unintended impacts of nudges on saving 0 0 3 6 0 2 20 43
Total Journal Articles 8 22 115 2,336 190 384 1,212 9,253


Statistics updated 2026-05-06