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THE BEHAVIOR OF THE BUCHAREST...
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Proceedings ESPERA 2016 “Economic Dynamics and Sustainable Development – Resources, Factors, Structures and Policies” are edited by: Luminita Chivu, Constantin Ciutacu, Valeriu Ioan-Franc and Jean-Vasile Andrei, and published by Peter Lang Publishing, Germany, ISBN: 9783653065718 The full content o
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1
The behavior of the Bucharest Stock Exchange during the current financial markets crisis and proposed measures for its sustainable development
Panait, Iulian
;
Lupu, Iulia
-
Facultatea de Finante şi Banci, Universitatea Spiru Haret
-
2009
Our day to day study of the Romanian stock market during the period July 2007 – September 2009 revealed in many cases a specific behavior. Although all the emerging markets from the region evolved in correlation with the more established exchanges, the negative impact of the crisis on our...
Persistent link: https://www.econbiz.de/10008473597
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2
Analysis of how the european stock markets perceive the dynamics of macroeconomic indicators through the sentiment index and the purchasing managers' index
Lupu, Iulia
- In:
Financial studies
22
(
2018
)
1
,
pp. 32-52
In this article, we intend to analyse how the European stock markets perceive the dynamics of macroeconomic indicators in terms of the sentiment index and the purchasing managers' index. For this research, we focused on the countries of the European Union and applied an econometric event study,...
Persistent link: https://www.econbiz.de/10011964937
Saved in:
3
Skewness in stock returns: evidence from the Bucharest stock exchange during 2000 – 2011
Panait, Iulian
;
Slavescu, Ecaterina Oana
-
2012
Our paper investigates the symmetry in stock returns of the 30 most liquid companies traded on Bucharest Stock Exchange during 2000 – 2011 and also the most representative 5 market indices. Our daily data shows that skewness estimates are slightly negative for most indices and individual...
Persistent link: https://www.econbiz.de/10015232035
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4
Volatility and causality study of the daily returns on the Bucharest Stock Exchange during 2007-2011
Panait, Iulian
;
Slavescu, Ecaterina Oana
-
2011
International capital markets tend to be characterized by volatility, which is always a function of world economic and political environment and is frequently associated with contagion risk and increased cross-market linkages. This phenomenon affects both developed markets and emerging markets,...
Persistent link: https://www.econbiz.de/10015234108
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5
Stock market diagnosis
Panait, Iulian
-
2011
This paper represents a review of the book „Stock market diagnosis” by Anca Gheorghiu, Victor Publishing House, Bucharest, 2011
Persistent link: https://www.econbiz.de/10015235642
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6
Particularități ale aplicării teoriei moderne a portofoliului in cazul acțiunilor listate la Bursa de Valori București
Panait, Iulian
;
Diaconescu, Tiberiu
-
2012
This paper studies the particularities of portfolio selection on the Romanian stock market using the risk-return maximization criteria introduced by Harry Markowitz (1952). We used daily prices for the 36 most liquid companies traded on Bucharest Stock Exchange during January 2010 – March 2012...
Persistent link: https://www.econbiz.de/10015235643
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7
Stylized facts of the daily and monthly returns for the European stock indices during 2007-2012
Panait, Iulian
;
Constantinescu, Alexandru
-
2012
Our paper presents a set of stylized empirical facts resulted from the statistical investigation of the daily and monthly price variations of European stock market indices during the period April 2007 - March 2012. We study 21 regional and global stock market indices calculated by MSCI Barra,...
Persistent link: https://www.econbiz.de/10015235644
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8
Improving customer churn models as one of customer relationship management business solutions for the telecommunication industry
Slavescu, Ecaterina
;
Panait, Iulian
-
2012
Nowadays, when companies are dealing with severe global competition, they are making serious investments in Customer Relationship Management (CRM) strategies. One of the cornerstones in CRM is customer churn prediction, the practice of determining a mathematical relation between customer...
Persistent link: https://www.econbiz.de/10015235646
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9
A risk assessment framework for alternative investment funds, both at fund level and market level
Panait, Iulian
;
Barangă, Paul
- In:
Financial Studies
22
(
2018
)
2 (80)
,
pp. 38-51
In this paper we propose an integrated approach to assessing risk for alternative investment funds, both at micro and macro (market) level. Building upon the experience and practice in European Supervisory Agencies and different National Competent Authorities on assessing risk for other type of...
Persistent link: https://www.econbiz.de/10012484764
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10
Estimating the credit risk score for non-bank stock exchange intermediaries in the eventuality of changeover to euro currency
Barangă, laurențiu Paul
;
Panait, Iulian
- In:
Financial Studies
22
(
2018
)
4 (82)
,
pp. 25-40
In this paper we build a system for determining the credit risk score and to estimate the probability of default for Romanian non-bank stock exchange intermediaries using principal component analysis applied on a selected set of financial and prudential indicators obtained from their financial...
Persistent link: https://www.econbiz.de/10012484772
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