Iulian Panait
Iulian Panait
Hyperion University of Bucharest, Romania
Adresă de e-mail confirmată pe hyperion.ro
TitluCitat deAnul
Using GARCH-IN-mean model to investigate volatility and persistence at different frequencies for Bucharest Stock Exchange during 1997-2012.
I Panait, EO Slavescu
Theoretical & Applied Economics 19 (5), 2012
162012
The behavior of the Bucharest Stock Exchange during the current financial markets crisis and proposed measures for its sustainable development
I Panait, I Lupu
Annals of Spiru Haret University, Economic Series 1 (1), 73-80, 2009
72009
Study of the Correlation between the Romanian Stock Market and S&P500 Index during 2007-2009
I Panait
The Romanian Economic Journal 39, 233-255, 2011
52011
THE DAY-OF-THE-WEEK EFFECT ON BUCHAREST STOCK EXCHANGE.
I Panait, CM Uzlau, CM Ene
Internal Auditing & Risk Management 8 (1), 2013
42013
Towards the Capital Market Union
I Panait
Hyperion Economic Journal 3 (2), 38-44, 2015
32015
The month-of-the-year effect on Bucharest Stock Exchange
I Panait
Hyperion Economic Journal 1 (1), 19-26, 2013
22013
Stylized facts of the daily and monthly returns for the European stock indices during 2007-2012
I Panait, A Constantinescu
22012
Studiul volatilității și persistenței acesteia pentru diferite frecvențe la Bursa de Valori București cu ajutorul modelului Garch-M (1997-2012)
I PANAIT, EO SLĂVESCU
Theoretical and Applied Economics 19 (5), 570, 2012
22012
Stock market diagnosis
I Panait
22011
Romanian financial market’s reaction to FED tapering talk during 2013
I Panait
Studii Financiare (Financial Studies) 18 (4), 19-30, 2014
12014
Study of the financial performance for Romanian listed companies beneficiary of non-repayable European funds
I Panait, L Uzlau
Internal Auditing and Risk Management 2 (30), 285-295, 2013
12013
Comparative study of the evolution of stock returns for listed Romanian companies which received non-repayable structural and cohesion European funds.
I Panait, GD Stoian
Romanian Economic Journal 16 (47), 2013
12013
Particularități ale aplicării teoriei moderne a portofoliului in cazul acțiunilor listate la Bursa de Valori București
I Panait, T Diaconescu
12012
Improving customer churn models as one of customer relationship management business solutions for the telecommunication industry
E Slavescu, I Panait
12012
Volatility and causality study of the daily returns on the Bucharest Stock Exchange during 2007-2011
I Panait, EO Slavescu
12011
Portfolio risk analysis using Garch model
B Covaci, I Panait
Proceedings of the 2010 American conference on Applied mathematics, 122-126, 2010
12010
A RISK ASSESSMENT FRAMEWORK FOR ALTERNATIVE INVESTMENT FUNDS, BOTH AT FUND LEVEL AND MARKET LEVEL.
I PANAIT, P BARANGĂ
Financial Studies 22 (2), 2018
2018
SENTIMENT, PERCEPTION AND POLICY DETERMINANTS OF FOREIGN DIRECT INVESTMENT TO EUROPEAN DEVELOPING COUNTRIES.
L Badea, I Panait, A Socol, AD Moraru
Economic Computation & Economic Cybernetics Studies & Research 52 (2), 2018
2018
Indicele de Stabilitate Financiară estimat de către Institutul de Studii Financiare [Financial Stability Index estimated by the Institute of Financial Studies]
I Stancu, I Panait
MPRA Paper, 2016
2016
Financial Stability Index estimated by the Institute of Financial Studies
I Stancu, I Panait
2016
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