Takip et
MOINESCU Bogdan Gabriel
MOINESCU Bogdan Gabriel
Professor of Money and Banking, Bucharest University of Economic Studies
fin.ase.ro üzerinde doğrulanmış e-posta adresine sahip - Ana Sayfa
Başlık
Alıntı yapanlar
Alıntı yapanlar
Yıl
Determinants of nonperforming loans in Central and Eastern European Countries: Macroeconomic indicators and credit discipline
G Moinescu
Review of Economic and Business Studies (REBS), 47-58, 2012
522012
Assessing optimal credit growth for an emerging banking system
P Jakubik, B Moinescu
Economic Systems, 11-12, 2015
292015
CREDIT FLOW, OUTPUT GAP AND INFLATION: NOMINAL CONVERGENCE CHALLENGES FOR THE EU NEW MEMBER STATES.
BG Moinescu
Journal of Applied Quantitative Methods 7 (4), 2012
172012
Assessing the Sectoral Dynamics of Non-performing Loans: Signs from Financial and Real Economy.
B Moinescu, A Codirlasu
Theoretical & Applied Economics 19 (2), 2012
172012
Early warning system of CAAMPL rating downgrade events
B Moinescu
National Bank of Romania, 2007
17*2007
Lending, economic growth and nonperforming loans: empirical evidences from the new EU member states
B Moinescu, A Codirlaşu
Conference on nonperforming loans, second edition, National Bank of Romania, 2012
162012
Strategii şi instrumente de administrare a riscurilor bancare
B Moinescu, A Codîrlaşu
Editura ASE, 2009
132009
The third wave of the financial crisis and its ripple effects on the deterioration risk of Romanian banking sector’s performance
N Dardac, B Moinescu
Economic computation and economic cybernetics studies and research 43 (1), 23-40, 2009
132009
TOWARDS AN EARLY-WARNING SYSTEM OF DISTRESSED NON-BANKING FINANCIAL INSTITUTIONS
B MOINESCU, A COSTEA
ECONOMIC COMPUTATION and ECONOMIC CYBERNETICS STUDIES and RESEARCH 48 (2 / 2014), 2014
122014
The lending channel and budget balance: empirical evidences from Central and Eastern European economies
BG Moinescu
Theoretical and Applied Economics 3 (580), 17-30, 2013
102013
Econometrie avansată
A Codirlaşu, B Moinescu, AN Chidesciuc
The Academy of Economic Studies, Bucharest, 2010
102010
„Evaluarea cantitativă a riscului de credit din perspectiva Basel II”
N Dardac, B Moinescu
Economie teoretică şi aplicată, 2006
8*2006
CREDIT ACCELERATOR, CDS RATE AND LONG TERM YIELDS: EMPIRICAL EVIDENCES FROM THE CEE ECONOMIES.
BG Moinescu
Journal of Applied Quantitative Methods 7 (3), 2012
72012
Politici monetare și tehnici bancare (note de curs)
N Dardac, B Moinescu
ASE București, 2007
72007
Credit Institutions Management Evaluation using Quantitative Methods
N Dardac, B Moinescu
Theoretical and Applied Economics 2 (2 (497)), 35-40, 2006
5*2006
What is the optimal capital ratio implying a stable European banking system?
P Jakubik, BG Moinescu
International Finance 26 (3), 324-343, 2023
22023
Validation Techniques of the Intern Models for Credit Risk
N Dardac, B Moinescu
Theoretical and Applied Economics 9 (9 (504)), 55-60, 2006
2*2006
Bogdan Moinescu.(2003)
T Vâşcu
Sisteme bancare comparate–Note de curs, 0
2
Maastricht Criteria Targeting and Credit Growth: Empirical Evidence for the New European Union Member States
BG MOINESCU
Romanian Journal of Fiscal Policy 3 (2), 2012
1*2012
The Use of Internal Rating Models in Managing the Risks Related to the Exposures of Non-banking Financial Institutions
N Dardac, P Chiriac, B Moinescu
Amfiteatru Economic Journal 14 (31), 258-271, 2012
12012
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Makaleler 1–20